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Edison Electric Illuminating Company
question: Consolidated Edison can trace it's roots back to which investor owned electric utility company?, context: Gas and electric service is provided by Consolidated Edison to all of Manhattan. Con Edison's electric business traces its roots back to Thomas Edison's Edison Electric Illuminating Company, the first investor-owned electric utility. The company started service on September 4, 1882, using one generator to provide 110 volts direct current (DC) to 59 customers with 800 light bulbs, in a one-square-mile area of Lower Manhattan from his Pearl Street Station. Con Edison operates the world's largest district steam system, which consists of 105 miles (169 km)* of steam pipes, providing steam for heating, hot water, and air conditioning by some 1,800 Manhattan customers. Cable service is provided by Time Warner Cable and telephone service is provided by Verizon Communications, although AT&T is available as well.
Consolidated Edison can trace it's roots back to which investor owned electric utility company?
Con Edison's electric business traces its roots back to Thomas Edison's Edison Electric Illuminating Company , the first investor-owned electric utility.
Gas and electric service is provided by Consolidated Edison to all of Manhattan. Con Edison's electric business traces its roots back to Thomas Edison's Edison Electric Illuminating Company, the first investor-owned electric utility. The company started service on September 4, 1882, using one generator to provide 110 volts direct current (DC) to 59 customers with 800 light bulbs, in a one-square-mile area of Lower Manhattan from his Pearl Street Station. Con Edison operates the world's largest district steam system, which consists of 105 miles (169 km)* of steam pipes, providing steam for heating, hot water, and air conditioning by some 1,800 Manhattan customers. Cable service is provided by Time Warner Cable and telephone service is provided by Verizon Communications, although AT&T is available as well.
Con Edison's electric business traces its roots back to Thomas Edison's <hl> Edison Electric Illuminating Company <hl> , the first investor-owned electric utility.
Gas and electric service is provided by Consolidated Edison to all of Manhattan. Con Edison's electric business traces its roots back to Thomas Edison's <hl> Edison Electric Illuminating Company <hl>, the first investor-owned electric utility. The company started service on September 4, 1882, using one generator to provide 110 volts direct current (DC) to 59 customers with 800 light bulbs, in a one-square-mile area of Lower Manhattan from his Pearl Street Station. Con Edison operates the world's largest district steam system, which consists of 105 miles (169 km)* of steam pipes, providing steam for heating, hot water, and air conditioning by some 1,800 Manhattan customers. Cable service is provided by Time Warner Cable and telephone service is provided by Verizon Communications, although AT&T is available as well.
Gas and electric service is provided by Consolidated Edison to all of Manhattan. <hl> Con Edison's electric business traces its roots back to Thomas Edison's Edison Electric Illuminating Company , the first investor-owned electric utility. <hl> The company started service on September 4, 1882, using one generator to provide 110 volts direct current (DC) to 59 customers with 800 light bulbs, in a one-square-mile area of Lower Manhattan from his Pearl Street Station. Con Edison operates the world's largest district steam system, which consists of 105 miles (169 km)* of steam pipes, providing steam for heating, hot water, and air conditioning by some 1,800 Manhattan customers. Cable service is provided by Time Warner Cable and telephone service is provided by Verizon Communications, although AT&T is available as well.
5d66f6322b22cd4dfcfbe7d9
angular magnification
question: What kind of magnification shows how much larger an object is seen in contrast to how it's seen by the naked eye?, context: Linear magnification M is not always the most useful measure of magnifying power. For instance, when characterizing a visual telescope or binoculars that produce only a virtual image, one would be more concerned with the angular magnification—which expresses how much larger a distant object appears through the telescope compared to the naked eye. In the case of a camera one would quote the plate scale, which compares the apparent (angular) size of a distant object to the size of the real image produced at the focus. The plate scale is the reciprocal of the focal length of the camera lens; lenses are categorized as long-focus lenses or wide-angle lenses according to their focal lengths.
What kind of magnification shows how much larger an object is seen in contrast to how it's seen by the naked eye?
For instance, when characterizing a visual telescope or binoculars that produce only a virtual image, one would be more concerned with the angular magnification —which expresses how much larger a distant object appears through the telescope compared to the naked eye.
Linear magnification M is not always the most useful measure of magnifying power. For instance, when characterizing a visual telescope or binoculars that produce only a virtual image, one would be more concerned with the angular magnification—which expresses how much larger a distant object appears through the telescope compared to the naked eye. In the case of a camera one would quote the plate scale, which compares the apparent (angular) size of a distant object to the size of the real image produced at the focus. The plate scale is the reciprocal of the focal length of the camera lens; lenses are categorized as long-focus lenses or wide-angle lenses according to their focal lengths.
For instance, when characterizing a visual telescope or binoculars that produce only a virtual image, one would be more concerned with the <hl> angular magnification <hl> —which expresses how much larger a distant object appears through the telescope compared to the naked eye.
Linear magnification M is not always the most useful measure of magnifying power. For instance, when characterizing a visual telescope or binoculars that produce only a virtual image, one would be more concerned with the <hl> angular magnification <hl>—which expresses how much larger a distant object appears through the telescope compared to the naked eye. In the case of a camera one would quote the plate scale, which compares the apparent (angular) size of a distant object to the size of the real image produced at the focus. The plate scale is the reciprocal of the focal length of the camera lens; lenses are categorized as long-focus lenses or wide-angle lenses according to their focal lengths.
Linear magnification M is not always the most useful measure of magnifying power. <hl> For instance, when characterizing a visual telescope or binoculars that produce only a virtual image, one would be more concerned with the angular magnification —which expresses how much larger a distant object appears through the telescope compared to the naked eye. <hl> In the case of a camera one would quote the plate scale, which compares the apparent (angular) size of a distant object to the size of the real image produced at the focus. The plate scale is the reciprocal of the focal length of the camera lens; lenses are categorized as long-focus lenses or wide-angle lenses according to their focal lengths.
5d677b342b22cd4dfcfbfd07
private entity
question: Is the University a private or puble institution?, context: The University was chartered by the Commonwealth of Pennsylvania in 1787 and it operated as a fully private institution until an alteration to its charter in 1966 at which point it became part of the Commonwealth System of Higher Education. This conferred "state-related" status to the university making it a legal instrument of the Commonwealth which provides an annual financial appropriation, currently 7.7% of the university's total operating budget, in exchange for the university offering tuition discounts to students that are residents of Pennsylvania. Legally, however, the university remains a private entity, operating under its nonprofit corporate charter, governed by its independent Board of Trustees, and with its assets under its own ownership and control. Therefore, it retains the freedom and individuality of a private institution, both administratively and academically, setting its own standards for admissions, awarding of degrees, faculty qualifications, teaching, and staff hiring.
Is the University a private or puble institution?
Legally, however, the university remains a private entity , operating under its nonprofit corporate charter, governed by its independent Board of Trustees, and with its assets under its own ownership and control.
The University was chartered by the Commonwealth of Pennsylvania in 1787 and it operated as a fully private institution until an alteration to its charter in 1966 at which point it became part of the Commonwealth System of Higher Education. This conferred "state-related" status to the university making it a legal instrument of the Commonwealth which provides an annual financial appropriation, currently 7.7% of the university's total operating budget, in exchange for the university offering tuition discounts to students that are residents of Pennsylvania. Legally, however, the university remains a private entity, operating under its nonprofit corporate charter, governed by its independent Board of Trustees, and with its assets under its own ownership and control. Therefore, it retains the freedom and individuality of a private institution, both administratively and academically, setting its own standards for admissions, awarding of degrees, faculty qualifications, teaching, and staff hiring.
Legally, however, the university remains a <hl> private entity <hl> , operating under its nonprofit corporate charter, governed by its independent Board of Trustees, and with its assets under its own ownership and control.
The University was chartered by the Commonwealth of Pennsylvania in 1787 and it operated as a fully private institution until an alteration to its charter in 1966 at which point it became part of the Commonwealth System of Higher Education. This conferred "state-related" status to the university making it a legal instrument of the Commonwealth which provides an annual financial appropriation, currently 7.7% of the university's total operating budget, in exchange for the university offering tuition discounts to students that are residents of Pennsylvania. Legally, however, the university remains a <hl> private entity <hl>, operating under its nonprofit corporate charter, governed by its independent Board of Trustees, and with its assets under its own ownership and control. Therefore, it retains the freedom and individuality of a private institution, both administratively and academically, setting its own standards for admissions, awarding of degrees, faculty qualifications, teaching, and staff hiring.
The University was chartered by the Commonwealth of Pennsylvania in 1787 and it operated as a fully private institution until an alteration to its charter in 1966 at which point it became part of the Commonwealth System of Higher Education. This conferred "state-related" status to the university making it a legal instrument of the Commonwealth which provides an annual financial appropriation, currently 7.7% of the university's total operating budget, in exchange for the university offering tuition discounts to students that are residents of Pennsylvania. <hl> Legally, however, the university remains a private entity , operating under its nonprofit corporate charter, governed by its independent Board of Trustees, and with its assets under its own ownership and control. <hl> Therefore, it retains the freedom and individuality of a private institution, both administratively and academically, setting its own standards for admissions, awarding of degrees, faculty qualifications, teaching, and staff hiring.
5d67435f2b22cd4dfcfbf449
Megara
question: Where were the Greeks who came to the city originally from?, context: The history of the city proper begins around 660 BCE,[a] when Greek settlers from Megara established Byzantium on the European side of the Bosphorus. The settlers built an acropolis adjacent to the Golden Horn on the site of the early Thracian settlements, fueling the nascent city's economy. The city experienced a brief period of Persian rule at the turn of the 5th century BCE, but the Greeks recaptured it during the Greco-Persian Wars. Byzantium then continued as part of the Athenian League and its successor, the Second Athenian Empire, before gaining independence in 355 BCE. Long allied with the Romans, Byzantium officially became a part of the Roman Empire in 73 CE. Byzantium's decision to side with the Roman usurper Pescennius Niger against Emperor Septimius Severus cost it dearly; by the time it surrendered at the end of 195 CE, two years of siege had left the city devastated. Five years later, Severus began to rebuild Byzantium, and the city regained—and, by some accounts, surpassed—its previous prosperity.
Where were the Greeks who came to the city originally from?
The history of the city proper begins around 660 BCE,[a] when Greek settlers from Megara established Byzantium on the European side of the Bosphorus.
The history of the city proper begins around 660 BCE,[a] when Greek settlers from Megara established Byzantium on the European side of the Bosphorus. The settlers built an acropolis adjacent to the Golden Horn on the site of the early Thracian settlements, fueling the nascent city's economy. The city experienced a brief period of Persian rule at the turn of the 5th century BCE, but the Greeks recaptured it during the Greco-Persian Wars. Byzantium then continued as part of the Athenian League and its successor, the Second Athenian Empire, before gaining independence in 355 BCE. Long allied with the Romans, Byzantium officially became a part of the Roman Empire in 73 CE. Byzantium's decision to side with the Roman usurper Pescennius Niger against Emperor Septimius Severus cost it dearly; by the time it surrendered at the end of 195 CE, two years of siege had left the city devastated. Five years later, Severus began to rebuild Byzantium, and the city regained—and, by some accounts, surpassed—its previous prosperity.
The history of the city proper begins around 660 BCE,[a] when Greek settlers from <hl> Megara <hl> established Byzantium on the European side of the Bosphorus.
The history of the city proper begins around 660 BCE,[a] when Greek settlers from <hl> Megara <hl> established Byzantium on the European side of the Bosphorus. The settlers built an acropolis adjacent to the Golden Horn on the site of the early Thracian settlements, fueling the nascent city's economy. The city experienced a brief period of Persian rule at the turn of the 5th century BCE, but the Greeks recaptured it during the Greco-Persian Wars. Byzantium then continued as part of the Athenian League and its successor, the Second Athenian Empire, before gaining independence in 355 BCE. Long allied with the Romans, Byzantium officially became a part of the Roman Empire in 73 CE. Byzantium's decision to side with the Roman usurper Pescennius Niger against Emperor Septimius Severus cost it dearly; by the time it surrendered at the end of 195 CE, two years of siege had left the city devastated. Five years later, Severus began to rebuild Byzantium, and the city regained—and, by some accounts, surpassed—its previous prosperity.
<hl> The history of the city proper begins around 660 BCE,[a] when Greek settlers from Megara established Byzantium on the European side of the Bosphorus. <hl> The settlers built an acropolis adjacent to the Golden Horn on the site of the early Thracian settlements, fueling the nascent city's economy. The city experienced a brief period of Persian rule at the turn of the 5th century BCE, but the Greeks recaptured it during the Greco-Persian Wars. Byzantium then continued as part of the Athenian League and its successor, the Second Athenian Empire, before gaining independence in 355 BCE. Long allied with the Romans, Byzantium officially became a part of the Roman Empire in 73 CE. Byzantium's decision to side with the Roman usurper Pescennius Niger against Emperor Septimius Severus cost it dearly; by the time it surrendered at the end of 195 CE, two years of siege had left the city devastated. Five years later, Severus began to rebuild Byzantium, and the city regained—and, by some accounts, surpassed—its previous prosperity.
5d65c3e02b22cd4dfcfbcc2b
$2,544,454
question: How much did the city spend in putting families in hotels in 2012?, context: The U.S. Department of Housing and Urban Development estimated in 2013 the number of homeless in Washington, D.C. as 6,865, which was a 29 percent increase after 2007. D.C. ranks eighth regarding total homeless population among other major American cities. The city passed a law that requires to provide shelter to everybody in need when the temperature drops below freezing. Since D.C. does not have enough shelter units available, every winter it books hotel rooms in the suburbs with an average cost around $100 for a night. According to the D.C. Department of Human Services, during the winter of 2012 the city spent $2,544,454 on putting homeless families in hotels, and budgeted $3.2 million on hotel beds in 2013. Homeless advocates Mitch Snyder and Eric Sheptock come from D.C.
How much did the city spend in putting families in hotels in 2012?
According to the D.C. Department of Human Services, during the winter of 2012 the city spent $2,544,454 on putting homeless families in hotels, and budgeted $3.2 million on hotel beds in 2013.
The U.S. Department of Housing and Urban Development estimated in 2013 the number of homeless in Washington, D.C. as 6,865, which was a 29 percent increase after 2007. D.C. ranks eighth regarding total homeless population among other major American cities. The city passed a law that requires to provide shelter to everybody in need when the temperature drops below freezing. Since D.C. does not have enough shelter units available, every winter it books hotel rooms in the suburbs with an average cost around $100 for a night. According to the D.C. Department of Human Services, during the winter of 2012 the city spent $2,544,454 on putting homeless families in hotels, and budgeted $3.2 million on hotel beds in 2013. Homeless advocates Mitch Snyder and Eric Sheptock come from D.C.
According to the D.C. Department of Human Services, during the winter of 2012 the city spent <hl> $2,544,454 <hl> on putting homeless families in hotels, and budgeted $3.2 million on hotel beds in 2013.
The U.S. Department of Housing and Urban Development estimated in 2013 the number of homeless in Washington, D.C. as 6,865, which was a 29 percent increase after 2007. D.C. ranks eighth regarding total homeless population among other major American cities. The city passed a law that requires to provide shelter to everybody in need when the temperature drops below freezing. Since D.C. does not have enough shelter units available, every winter it books hotel rooms in the suburbs with an average cost around $100 for a night. According to the D.C. Department of Human Services, during the winter of 2012 the city spent <hl> $2,544,454 <hl> on putting homeless families in hotels, and budgeted $3.2 million on hotel beds in 2013. Homeless advocates Mitch Snyder and Eric Sheptock come from D.C.
The U.S. Department of Housing and Urban Development estimated in 2013 the number of homeless in Washington, D.C. as 6,865, which was a 29 percent increase after 2007. D.C. ranks eighth regarding total homeless population among other major American cities. The city passed a law that requires to provide shelter to everybody in need when the temperature drops below freezing. Since D.C. does not have enough shelter units available, every winter it books hotel rooms in the suburbs with an average cost around $100 for a night. <hl> According to the D.C. Department of Human Services, during the winter of 2012 the city spent $2,544,454 on putting homeless families in hotels, and budgeted $3.2 million on hotel beds in 2013. <hl> Homeless advocates Mitch Snyder and Eric Sheptock come from D.C.
5d65eb1d2b22cd4dfcfbd288
Berlin
question: Where is the Ishtar Gate of Babylon located today?, context: The Ishtar Gate of Babylon, now in Berlin, has low reliefs of large animals formed from moulded bricks, glazed in colour. Plaster, which made the technique far easier, was widely used in Egypt and the Near East from antiquity into Islamic times (latterly for architectural decoration, as at the Alhambra), Rome, and Europe from at least the Renaissance, as well as probably elsewhere. However, it needs very good conditions to survive long in unmaintained buildings – Roman decorative plasterwork is mainly known from Pompeii and other sites buried by ash from Mount Vesuvius. Low relief was relatively rare in Western medieval art, but may be found, for example in wooden figures or scenes on the insides of the folding wings of multi-panel altarpieces.
Where is the Ishtar Gate of Babylon located today?
The Ishtar Gate of Babylon, now in Berlin , has low reliefs of large animals formed from moulded bricks, glazed in colour.
The Ishtar Gate of Babylon, now in Berlin, has low reliefs of large animals formed from moulded bricks, glazed in colour. Plaster, which made the technique far easier, was widely used in Egypt and the Near East from antiquity into Islamic times (latterly for architectural decoration, as at the Alhambra), Rome, and Europe from at least the Renaissance, as well as probably elsewhere. However, it needs very good conditions to survive long in unmaintained buildings – Roman decorative plasterwork is mainly known from Pompeii and other sites buried by ash from Mount Vesuvius. Low relief was relatively rare in Western medieval art, but may be found, for example in wooden figures or scenes on the insides of the folding wings of multi-panel altarpieces.
The Ishtar Gate of Babylon, now in <hl> Berlin <hl> , has low reliefs of large animals formed from moulded bricks, glazed in colour.
The Ishtar Gate of Babylon, now in <hl> Berlin <hl>, has low reliefs of large animals formed from moulded bricks, glazed in colour. Plaster, which made the technique far easier, was widely used in Egypt and the Near East from antiquity into Islamic times (latterly for architectural decoration, as at the Alhambra), Rome, and Europe from at least the Renaissance, as well as probably elsewhere. However, it needs very good conditions to survive long in unmaintained buildings – Roman decorative plasterwork is mainly known from Pompeii and other sites buried by ash from Mount Vesuvius. Low relief was relatively rare in Western medieval art, but may be found, for example in wooden figures or scenes on the insides of the folding wings of multi-panel altarpieces.
<hl> The Ishtar Gate of Babylon, now in Berlin , has low reliefs of large animals formed from moulded bricks, glazed in colour. <hl> Plaster, which made the technique far easier, was widely used in Egypt and the Near East from antiquity into Islamic times (latterly for architectural decoration, as at the Alhambra), Rome, and Europe from at least the Renaissance, as well as probably elsewhere. However, it needs very good conditions to survive long in unmaintained buildings – Roman decorative plasterwork is mainly known from Pompeii and other sites buried by ash from Mount Vesuvius. Low relief was relatively rare in Western medieval art, but may be found, for example in wooden figures or scenes on the insides of the folding wings of multi-panel altarpieces.
5d67c58b2b22cd4dfcfc01a8
organized
question: Through an Organic Act of Congress, what can territories be considered?, context: The insular areas include a number of territories under the sovereignty of the United States and three sovereign nations in free association with the United States. Territories incorporated within the provisions of the U.S. Constitution are designated incorporated territories. Territories not so incorporated are designated "unincorporated". Territories may also be organized, if granted by an Organic Act of Congress or unorganized (without direct authorization of self-government by such an act).
Through an Organic Act of Congress, what can territories be considered?
Territories may also be organized , if granted by an Organic Act of Congress or unorganized (without direct authorization of self-government by such an act).
The insular areas include a number of territories under the sovereignty of the United States and three sovereign nations in free association with the United States. Territories incorporated within the provisions of the U.S. Constitution are designated incorporated territories. Territories not so incorporated are designated "unincorporated". Territories may also be organized, if granted by an Organic Act of Congress or unorganized (without direct authorization of self-government by such an act).
Territories may also be <hl> organized <hl> , if granted by an Organic Act of Congress or unorganized (without direct authorization of self-government by such an act).
The insular areas include a number of territories under the sovereignty of the United States and three sovereign nations in free association with the United States. Territories incorporated within the provisions of the U.S. Constitution are designated incorporated territories. Territories not so incorporated are designated "unincorporated". Territories may also be <hl> organized <hl>, if granted by an Organic Act of Congress or unorganized (without direct authorization of self-government by such an act).
The insular areas include a number of territories under the sovereignty of the United States and three sovereign nations in free association with the United States. Territories incorporated within the provisions of the U.S. Constitution are designated incorporated territories. Territories not so incorporated are designated "unincorporated". <hl> Territories may also be organized , if granted by an Organic Act of Congress or unorganized (without direct authorization of self-government by such an act). <hl>
5d676d632b22cd4dfcfbfb29
western and southern Connecticut
question: What parts of Connecticut are like New York City?, context: In 1790, 97% of the population in Connecticut was classified as "rural." The first census in which less than half the population was classified as rural was 1890. In the 2000 census, it was only 12.3%. Most of western and southern Connecticut (particularly the Gold Coast) is strongly associated with New York City; this area is the most affluent and populous region of the state. Eastern Connecticut is more culturally influenced by the greater New England area, including the cities of Boston and Providence. The center of population of Connecticut is located in the town of Cheshire.
What parts of Connecticut are like New York City?
Most of western and southern Connecticut (particularly the Gold Coast) is strongly associated with New York City; this area is the most affluent and populous region of the state.
In 1790, 97% of the population in Connecticut was classified as "rural." The first census in which less than half the population was classified as rural was 1890. In the 2000 census, it was only 12.3%. Most of western and southern Connecticut (particularly the Gold Coast) is strongly associated with New York City; this area is the most affluent and populous region of the state. Eastern Connecticut is more culturally influenced by the greater New England area, including the cities of Boston and Providence. The center of population of Connecticut is located in the town of Cheshire.
Most of <hl> western and southern Connecticut <hl> (particularly the Gold Coast) is strongly associated with New York City; this area is the most affluent and populous region of the state.
In 1790, 97% of the population in Connecticut was classified as "rural." The first census in which less than half the population was classified as rural was 1890. In the 2000 census, it was only 12.3%. Most of <hl> western and southern Connecticut <hl> (particularly the Gold Coast) is strongly associated with New York City; this area is the most affluent and populous region of the state. Eastern Connecticut is more culturally influenced by the greater New England area, including the cities of Boston and Providence. The center of population of Connecticut is located in the town of Cheshire.
In 1790, 97% of the population in Connecticut was classified as "rural." The first census in which less than half the population was classified as rural was 1890. In the 2000 census, it was only 12.3%. <hl> Most of western and southern Connecticut (particularly the Gold Coast) is strongly associated with New York City; this area is the most affluent and populous region of the state. <hl> Eastern Connecticut is more culturally influenced by the greater New England area, including the cities of Boston and Providence. The center of population of Connecticut is located in the town of Cheshire.
5d66187a2b22cd4dfcfbd854
2011 Newspaper Awards
question: What year and where did it get it best app recognition?, context: The Sunday Times iPad app was named newspaper app of the year at the 2011 Newspaper Awards and has twice been ranked best newspaper or magazine app in the world by iMonitor. Various subscription packages exist, giving access to both the print and digital versions of the paper.
What year and where did it get it best app recognition?
The Sunday Times iPad app was named newspaper app of the year at the 2011 Newspaper Awards and has twice been ranked best newspaper or magazine app in the world by iMonitor.
The Sunday Times iPad app was named newspaper app of the year at the 2011 Newspaper Awards and has twice been ranked best newspaper or magazine app in the world by iMonitor. Various subscription packages exist, giving access to both the print and digital versions of the paper.
The Sunday Times iPad app was named newspaper app of the year at the <hl> 2011 Newspaper Awards <hl> and has twice been ranked best newspaper or magazine app in the world by iMonitor.
The Sunday Times iPad app was named newspaper app of the year at the <hl> 2011 Newspaper Awards <hl> and has twice been ranked best newspaper or magazine app in the world by iMonitor. Various subscription packages exist, giving access to both the print and digital versions of the paper.
<hl> The Sunday Times iPad app was named newspaper app of the year at the 2011 Newspaper Awards and has twice been ranked best newspaper or magazine app in the world by iMonitor. <hl> Various subscription packages exist, giving access to both the print and digital versions of the paper.
5d674a3f2b22cd4dfcfbf525
Overall alcohol consumption at the population level is associated with multiple health risks that exceed any potential benefits.
question: What is overall alcohol consumption associated with., context: The relationship between alcohol consumption and cardiovascular disease is complex, and may depend on the amount of alcohol consumed. There is a direct relationship between high levels of alcohol consumption and risk of cardiovascular disease. Drinking at low levels without episodes of heavy drinking may be associated with a reduced risk of cardiovascular disease. Overall alcohol consumption at the population level is associated with multiple health risks that exceed any potential benefits.
What is overall alcohol consumption associated with.
Overall alcohol consumption at the population level is associated with multiple health risks that exceed any potential benefits.
The relationship between alcohol consumption and cardiovascular disease is complex, and may depend on the amount of alcohol consumed. There is a direct relationship between high levels of alcohol consumption and risk of cardiovascular disease. Drinking at low levels without episodes of heavy drinking may be associated with a reduced risk of cardiovascular disease. Overall alcohol consumption at the population level is associated with multiple health risks that exceed any potential benefits.
<hl> Overall alcohol consumption at the population level is associated with multiple health risks that exceed any potential benefits. <hl>
The relationship between alcohol consumption and cardiovascular disease is complex, and may depend on the amount of alcohol consumed. There is a direct relationship between high levels of alcohol consumption and risk of cardiovascular disease. Drinking at low levels without episodes of heavy drinking may be associated with a reduced risk of cardiovascular disease. <hl> Overall alcohol consumption at the population level is associated with multiple health risks that exceed any potential benefits. <hl>
The relationship between alcohol consumption and cardiovascular disease is complex, and may depend on the amount of alcohol consumed. There is a direct relationship between high levels of alcohol consumption and risk of cardiovascular disease. Drinking at low levels without episodes of heavy drinking may be associated with a reduced risk of cardiovascular disease. <hl> Overall alcohol consumption at the population level is associated with multiple health risks that exceed any potential benefits. <hl>
5d65c1ac2b22cd4dfcfbcbae
1.7% of the population over the age of 5 speak only English at home
question: Is English the primary language used?, context: According to the 2009 American Community Survey, the average household size was 2.11, and the average family size was 3.21. Approximately 59.4% of the population over the age of 25 have a bachelor's degree or higher. Approximately 27.0% of the population is foreign-born, and 61.7% of the population over the age of 5 speak only English at home. People of Irish ancestry make up 7.8% of the population, while Italian Americans make up 6.8% of the population. German Americans and Russian Americans make up 7.2% and 6.2% of the population respectively.
Is English the primary language used?
Approximately 27.0% of the population is foreign-born, and 6 1.7% of the population over the age of 5 speak only English at home .
According to the 2009 American Community Survey, the average household size was 2.11, and the average family size was 3.21. Approximately 59.4% of the population over the age of 25 have a bachelor's degree or higher. Approximately 27.0% of the population is foreign-born, and 61.7% of the population over the age of 5 speak only English at home. People of Irish ancestry make up 7.8% of the population, while Italian Americans make up 6.8% of the population. German Americans and Russian Americans make up 7.2% and 6.2% of the population respectively.
Approximately 27.0% of the population is foreign-born, and 6 <hl> 1.7% of the population over the age of 5 speak only English at home <hl> .
According to the 2009 American Community Survey, the average household size was 2.11, and the average family size was 3.21. Approximately 59.4% of the population over the age of 25 have a bachelor's degree or higher. Approximately 27.0% of the population is foreign-born, and 6<hl> 1.7% of the population over the age of 5 speak only English at home <hl>. People of Irish ancestry make up 7.8% of the population, while Italian Americans make up 6.8% of the population. German Americans and Russian Americans make up 7.2% and 6.2% of the population respectively.
According to the 2009 American Community Survey, the average household size was 2.11, and the average family size was 3.21. Approximately 59.4% of the population over the age of 25 have a bachelor's degree or higher. <hl> Approximately 27.0% of the population is foreign-born, and 6 1.7% of the population over the age of 5 speak only English at home . <hl> People of Irish ancestry make up 7.8% of the population, while Italian Americans make up 6.8% of the population. German Americans and Russian Americans make up 7.2% and 6.2% of the population respectively.
5d6763342b22cd4dfcfbf981
21 January 1940
question: When did The Sunday Times replace advertising with news on the front page?, context: There was a further change of ownership in 1903, and then in 1915 the paper was bought by William Berry and his brother, Gomer Berry, later ennobled as Lord Camrose and Viscount Kemsley respectively. Under their ownership, The Sunday Times continued its reputation for innovation: on 23 November 1930, it became the first Sunday newspaper to publish a 40-page issue and on 21 January 1940, news replaced advertising on the front page.
When did The Sunday Times replace advertising with news on the front page?
Under their ownership, The Sunday Times continued its reputation for innovation: on 23 November 1930, it became the first Sunday newspaper to publish a 40-page issue and on 21 January 1940 , news replaced advertising on the front page.
There was a further change of ownership in 1903, and then in 1915 the paper was bought by William Berry and his brother, Gomer Berry, later ennobled as Lord Camrose and Viscount Kemsley respectively. Under their ownership, The Sunday Times continued its reputation for innovation: on 23 November 1930, it became the first Sunday newspaper to publish a 40-page issue and on 21 January 1940, news replaced advertising on the front page.
Under their ownership, The Sunday Times continued its reputation for innovation: on 23 November 1930, it became the first Sunday newspaper to publish a 40-page issue and on <hl> 21 January 1940 <hl> , news replaced advertising on the front page.
There was a further change of ownership in 1903, and then in 1915 the paper was bought by William Berry and his brother, Gomer Berry, later ennobled as Lord Camrose and Viscount Kemsley respectively. Under their ownership, The Sunday Times continued its reputation for innovation: on 23 November 1930, it became the first Sunday newspaper to publish a 40-page issue and on <hl> 21 January 1940 <hl>, news replaced advertising on the front page.
There was a further change of ownership in 1903, and then in 1915 the paper was bought by William Berry and his brother, Gomer Berry, later ennobled as Lord Camrose and Viscount Kemsley respectively. <hl> Under their ownership, The Sunday Times continued its reputation for innovation: on 23 November 1930, it became the first Sunday newspaper to publish a 40-page issue and on 21 January 1940 , news replaced advertising on the front page. <hl>
5d6759872b22cd4dfcfbf7ee
poorly armed
question: Were Partisan forces well armed?, context: The Partisans staged a guerrilla campaign which enjoyed gradually increased levels of success and support of the general populace, and succeeded in controlling large chunks of Yugoslav territory. These were managed via the "People's committees", organized to act as civilian governments in areas of the country controlled by the communists, even limited arms industries were set up. At the very beginning, Partisan forces were relatively small, poorly armed and without any infrastructure. They had two major advantages over other military and paramilitary formations in former Yugoslavia:
Were Partisan forces well armed?
At the very beginning, Partisan forces were relatively small, poorly armed and without any infrastructure.
The Partisans staged a guerrilla campaign which enjoyed gradually increased levels of success and support of the general populace, and succeeded in controlling large chunks of Yugoslav territory. These were managed via the "People's committees", organized to act as civilian governments in areas of the country controlled by the communists, even limited arms industries were set up. At the very beginning, Partisan forces were relatively small, poorly armed and without any infrastructure. They had two major advantages over other military and paramilitary formations in former Yugoslavia:
At the very beginning, Partisan forces were relatively small, <hl> poorly armed <hl> and without any infrastructure.
The Partisans staged a guerrilla campaign which enjoyed gradually increased levels of success and support of the general populace, and succeeded in controlling large chunks of Yugoslav territory. These were managed via the "People's committees", organized to act as civilian governments in areas of the country controlled by the communists, even limited arms industries were set up. At the very beginning, Partisan forces were relatively small, <hl> poorly armed <hl> and without any infrastructure. They had two major advantages over other military and paramilitary formations in former Yugoslavia:
The Partisans staged a guerrilla campaign which enjoyed gradually increased levels of success and support of the general populace, and succeeded in controlling large chunks of Yugoslav territory. These were managed via the "People's committees", organized to act as civilian governments in areas of the country controlled by the communists, even limited arms industries were set up. <hl> At the very beginning, Partisan forces were relatively small, poorly armed and without any infrastructure. <hl> They had two major advantages over other military and paramilitary formations in former Yugoslavia:
5d6707f42b22cd4dfcfbeb58
geometry
question: The design of static structures assumes they have the same what?, context: Principles of structural engineering are applied to variety of mechanical (moveable) structures. The design of static structures assumes they always have the same geometry (in fact, so-called static structures can move significantly, and structural engineering design must take this into account where necessary), but the design of moveable or moving structures must account for fatigue, variation in the method in which load is resisted and significant deflections of structures.
The design of static structures assumes they have the same what?
The design of static structures assumes they always have the same geometry (in fact, so-called static structures can move significantly, and structural engineering design must take this into account where necessary), but the design of moveable or moving structures must account for fatigue, variation in the method in which load is resisted and significant deflections of structures.
Principles of structural engineering are applied to variety of mechanical (moveable) structures. The design of static structures assumes they always have the same geometry (in fact, so-called static structures can move significantly, and structural engineering design must take this into account where necessary), but the design of moveable or moving structures must account for fatigue, variation in the method in which load is resisted and significant deflections of structures.
The design of static structures assumes they always have the same <hl> geometry <hl> (in fact, so-called static structures can move significantly, and structural engineering design must take this into account where necessary), but the design of moveable or moving structures must account for fatigue, variation in the method in which load is resisted and significant deflections of structures.
Principles of structural engineering are applied to variety of mechanical (moveable) structures. The design of static structures assumes they always have the same <hl> geometry <hl> (in fact, so-called static structures can move significantly, and structural engineering design must take this into account where necessary), but the design of moveable or moving structures must account for fatigue, variation in the method in which load is resisted and significant deflections of structures.
Principles of structural engineering are applied to variety of mechanical (moveable) structures. <hl> The design of static structures assumes they always have the same geometry (in fact, so-called static structures can move significantly, and structural engineering design must take this into account where necessary), but the design of moveable or moving structures must account for fatigue, variation in the method in which load is resisted and significant deflections of structures. <hl>
5d6789772b22cd4dfcfbfe2d
Human morality
question: What is a natural phenomenon?, context: On this understanding, moralities are sets of self-perpetuating and biologically-driven behaviors which encourage human cooperation. Biologists contend that all social animals, from ants to elephants, have modified their behaviors, by restraining immediate selfishness in order to improve their evolutionary fitness. Human morality, although sophisticated and complex relative to other animals, is essentially a natural phenomenon that evolved to restrict excessive individualism that could undermine a group's cohesion and thereby reducing the individuals' fitness.
What is a natural phenomenon?
Human morality , although sophisticated and complex relative to other animals, is essentially a natural phenomenon that evolved to restrict excessive individualism that could undermine a group's cohesion and thereby reducing the individuals' fitness.
On this understanding, moralities are sets of self-perpetuating and biologically-driven behaviors which encourage human cooperation. Biologists contend that all social animals, from ants to elephants, have modified their behaviors, by restraining immediate selfishness in order to improve their evolutionary fitness. Human morality, although sophisticated and complex relative to other animals, is essentially a natural phenomenon that evolved to restrict excessive individualism that could undermine a group's cohesion and thereby reducing the individuals' fitness.
<hl> Human morality <hl> , although sophisticated and complex relative to other animals, is essentially a natural phenomenon that evolved to restrict excessive individualism that could undermine a group's cohesion and thereby reducing the individuals' fitness.
On this understanding, moralities are sets of self-perpetuating and biologically-driven behaviors which encourage human cooperation. Biologists contend that all social animals, from ants to elephants, have modified their behaviors, by restraining immediate selfishness in order to improve their evolutionary fitness. <hl> Human morality <hl>, although sophisticated and complex relative to other animals, is essentially a natural phenomenon that evolved to restrict excessive individualism that could undermine a group's cohesion and thereby reducing the individuals' fitness.
On this understanding, moralities are sets of self-perpetuating and biologically-driven behaviors which encourage human cooperation. Biologists contend that all social animals, from ants to elephants, have modified their behaviors, by restraining immediate selfishness in order to improve their evolutionary fitness. <hl> Human morality , although sophisticated and complex relative to other animals, is essentially a natural phenomenon that evolved to restrict excessive individualism that could undermine a group's cohesion and thereby reducing the individuals' fitness. <hl>
5d67585c2b22cd4dfcfbf7b4
the Connecticut Colony at Hartford
question: Thomas Hooker was a professor of theology at which university?, context: The first English settlers came in 1633 and settled at Windsor, and then at Wethersfield the following year. However, the main body of settlers came in one large group in 1636. The settlers were Puritans from Massachusetts, led by Thomas Hooker. Hooker had been prominent in England and was a professor of theology at Cambridge. He was also an important political writer and made a significant contribution to Constitutional theory. He broke with the political leadership in Massachusetts, and, just as Roger Williams created a new polity in Rhode Island, Hooker and his cohort did the same and established the Connecticut Colony at Hartford in 1636. This was the second of the three colonies. The third colony was founded in March 1638. New Haven Colony (originally known as the Quinnipiack Colony) was established by John Davenport, Theophilus Eaton, and others at New Haven. The New Haven Colony had its own constitution, "The Fundamental Agreement of the New Haven Colony," which was signed on June 4, 1639.
Thomas Hooker was a professor of theology at which university?
He broke with the political leadership in Massachusetts, and, just as Roger Williams created a new polity in Rhode Island, Hooker and his cohort did the same and established the Connecticut Colony at Hartford in 1636.
The first English settlers came in 1633 and settled at Windsor, and then at Wethersfield the following year. However, the main body of settlers came in one large group in 1636. The settlers were Puritans from Massachusetts, led by Thomas Hooker. Hooker had been prominent in England and was a professor of theology at Cambridge. He was also an important political writer and made a significant contribution to Constitutional theory. He broke with the political leadership in Massachusetts, and, just as Roger Williams created a new polity in Rhode Island, Hooker and his cohort did the same and established the Connecticut Colony at Hartford in 1636. This was the second of the three colonies. The third colony was founded in March 1638. New Haven Colony (originally known as the Quinnipiack Colony) was established by John Davenport, Theophilus Eaton, and others at New Haven. The New Haven Colony had its own constitution, "The Fundamental Agreement of the New Haven Colony," which was signed on June 4, 1639.
He broke with the political leadership in Massachusetts, and, just as Roger Williams created a new polity in Rhode Island, Hooker and his cohort did the same and established <hl> the Connecticut Colony at Hartford <hl> in 1636.
The first English settlers came in 1633 and settled at Windsor, and then at Wethersfield the following year. However, the main body of settlers came in one large group in 1636. The settlers were Puritans from Massachusetts, led by Thomas Hooker. Hooker had been prominent in England and was a professor of theology at Cambridge. He was also an important political writer and made a significant contribution to Constitutional theory. He broke with the political leadership in Massachusetts, and, just as Roger Williams created a new polity in Rhode Island, Hooker and his cohort did the same and established <hl> the Connecticut Colony at Hartford <hl> in 1636. This was the second of the three colonies. The third colony was founded in March 1638. New Haven Colony (originally known as the Quinnipiack Colony) was established by John Davenport, Theophilus Eaton, and others at New Haven. The New Haven Colony had its own constitution, "The Fundamental Agreement of the New Haven Colony," which was signed on June 4, 1639.
The first English settlers came in 1633 and settled at Windsor, and then at Wethersfield the following year. However, the main body of settlers came in one large group in 1636. The settlers were Puritans from Massachusetts, led by Thomas Hooker. Hooker had been prominent in England and was a professor of theology at Cambridge. He was also an important political writer and made a significant contribution to Constitutional theory. <hl> He broke with the political leadership in Massachusetts, and, just as Roger Williams created a new polity in Rhode Island, Hooker and his cohort did the same and established the Connecticut Colony at Hartford in 1636. <hl> This was the second of the three colonies. The third colony was founded in March 1638. New Haven Colony (originally known as the Quinnipiack Colony) was established by John Davenport, Theophilus Eaton, and others at New Haven. The New Haven Colony had its own constitution, "The Fundamental Agreement of the New Haven Colony," which was signed on June 4, 1639.
5d6677af2b22cd4dfcfbe028
one table
question: Other than chairs what is kept beside the performance space of Shumang lila?, context: Secular theatre is mostly confined to themes that are not religious; it is performed in the secular or profane spheres. In these are Shumang lila and Phampak lila (stage drama). Shumang lila is very popular. Etymologically Shumang lila is the combination of "Shumang" (courtyard) and "Lila" (play or performance). It is performed in an area of 13×13 ft in the centre of any open space, in a very simple style without a raised stage, set design, or heavy props such as curtains, background scenery, and visual effects. It uses one table and two chairs, kept on one side of the performance space. Its claim as the "theatre of the masses" is underlined by the way it is performed in the middle of an audience that surrounds it, leaving one passage as entrance and exit.[citation needed]
Other than chairs what is kept beside the performance space of Shumang lila?
It uses one table and two chairs, kept on one side of the performance space.
Secular theatre is mostly confined to themes that are not religious; it is performed in the secular or profane spheres. In these are Shumang lila and Phampak lila (stage drama). Shumang lila is very popular. Etymologically Shumang lila is the combination of "Shumang" (courtyard) and "Lila" (play or performance). It is performed in an area of 13×13 ft in the centre of any open space, in a very simple style without a raised stage, set design, or heavy props such as curtains, background scenery, and visual effects. It uses one table and two chairs, kept on one side of the performance space. Its claim as the "theatre of the masses" is underlined by the way it is performed in the middle of an audience that surrounds it, leaving one passage as entrance and exit.[citation needed]
It uses <hl> one table <hl> and two chairs, kept on one side of the performance space.
Secular theatre is mostly confined to themes that are not religious; it is performed in the secular or profane spheres. In these are Shumang lila and Phampak lila (stage drama). Shumang lila is very popular. Etymologically Shumang lila is the combination of "Shumang" (courtyard) and "Lila" (play or performance). It is performed in an area of 13×13 ft in the centre of any open space, in a very simple style without a raised stage, set design, or heavy props such as curtains, background scenery, and visual effects. It uses <hl> one table <hl> and two chairs, kept on one side of the performance space. Its claim as the "theatre of the masses" is underlined by the way it is performed in the middle of an audience that surrounds it, leaving one passage as entrance and exit.[citation needed]
Secular theatre is mostly confined to themes that are not religious; it is performed in the secular or profane spheres. In these are Shumang lila and Phampak lila (stage drama). Shumang lila is very popular. Etymologically Shumang lila is the combination of "Shumang" (courtyard) and "Lila" (play or performance). It is performed in an area of 13×13 ft in the centre of any open space, in a very simple style without a raised stage, set design, or heavy props such as curtains, background scenery, and visual effects. <hl> It uses one table and two chairs, kept on one side of the performance space. <hl> Its claim as the "theatre of the masses" is underlined by the way it is performed in the middle of an audience that surrounds it, leaving one passage as entrance and exit.[citation needed]
5d6768e22b22cd4dfcfbfa71
wood preservative
question: Tributyltin oxide is used for what?, context: Organotin compounds can have a relatively high toxicity, which is both advantageous and problematic. They have been used for their biocidal effects in/as fungicides, pesticides, algaecides, wood preservatives, and antifouling agents. Tributyltin oxide is used as a wood preservative. Tributyltin was used as additive for ship paint to prevent growth of marine organisms on ships, with use declining after organotin compounds were recognized as persistent organic pollutants with an extremely high toxicity for some marine organisms, for example the dog whelk. The EU banned the use of organotin compounds in 2003, while concerns over the toxicity of these compounds to marine life and their effects on the reproduction and growth of some marine species, (some reports describe biological effects to marine life at a concentration of 1 nanogram per liter) have led to a worldwide ban by the International Maritime Organization. Many nations now restrict the use of organotin compounds to vessels over 25 meters long.
Tributyltin oxide is used for what?
They have been used for their biocidal effects in/as fungicides, pesticides, algaecides, wood preservative s, and antifouling agents.
Organotin compounds can have a relatively high toxicity, which is both advantageous and problematic. They have been used for their biocidal effects in/as fungicides, pesticides, algaecides, wood preservatives, and antifouling agents. Tributyltin oxide is used as a wood preservative. Tributyltin was used as additive for ship paint to prevent growth of marine organisms on ships, with use declining after organotin compounds were recognized as persistent organic pollutants with an extremely high toxicity for some marine organisms, for example the dog whelk. The EU banned the use of organotin compounds in 2003, while concerns over the toxicity of these compounds to marine life and their effects on the reproduction and growth of some marine species, (some reports describe biological effects to marine life at a concentration of 1 nanogram per liter) have led to a worldwide ban by the International Maritime Organization. Many nations now restrict the use of organotin compounds to vessels over 25 meters long.
They have been used for their biocidal effects in/as fungicides, pesticides, algaecides, <hl> wood preservative <hl> s, and antifouling agents.
Organotin compounds can have a relatively high toxicity, which is both advantageous and problematic. They have been used for their biocidal effects in/as fungicides, pesticides, algaecides, <hl> wood preservative <hl>s, and antifouling agents. Tributyltin oxide is used as a wood preservative. Tributyltin was used as additive for ship paint to prevent growth of marine organisms on ships, with use declining after organotin compounds were recognized as persistent organic pollutants with an extremely high toxicity for some marine organisms, for example the dog whelk. The EU banned the use of organotin compounds in 2003, while concerns over the toxicity of these compounds to marine life and their effects on the reproduction and growth of some marine species, (some reports describe biological effects to marine life at a concentration of 1 nanogram per liter) have led to a worldwide ban by the International Maritime Organization. Many nations now restrict the use of organotin compounds to vessels over 25 meters long.
Organotin compounds can have a relatively high toxicity, which is both advantageous and problematic. <hl> They have been used for their biocidal effects in/as fungicides, pesticides, algaecides, wood preservative s, and antifouling agents. <hl> Tributyltin oxide is used as a wood preservative. Tributyltin was used as additive for ship paint to prevent growth of marine organisms on ships, with use declining after organotin compounds were recognized as persistent organic pollutants with an extremely high toxicity for some marine organisms, for example the dog whelk. The EU banned the use of organotin compounds in 2003, while concerns over the toxicity of these compounds to marine life and their effects on the reproduction and growth of some marine species, (some reports describe biological effects to marine life at a concentration of 1 nanogram per liter) have led to a worldwide ban by the International Maritime Organization. Many nations now restrict the use of organotin compounds to vessels over 25 meters long.
5d674b0c2b22cd4dfcfbf550
transitional climatic zone
question: What climate zone is Istanbul located in?, context: In the Köppen–Geiger classification system, Istanbul has a borderline Mediterranean climate (Csa), humid subtropical climate (Cfa) and oceanic climate (Cfb), due to its location in a transitional climatic zone. Since precipitation in summer months, ranges from 20 to 65 mm (1 to 3 in), depending on location, the city cannot be classified as solely Mediterranean or humid subtropical. Due to its size, diverse topography, maritime location and most importantly having a coastline to two different bodies of water to the north and south, Istanbul exhibits microclimates. The northern half of the city, as well as the Bosporus coastline, express characteristics of oceanic and humid subtropical climates, because of humidity from the Black Sea and the relatively high concentration of vegetation. The climate in the populated areas of the city to the south, located on the Sea of Marmara, is warmer, drier and less affected by humidity. The annual precipitation in the northern half can be twice as much (Bahçeköy, 1166.6 mm), than it is in the southern, Marmara coast (Florya 635.0 mm). There is a significant difference between annual mean temperatures on the north and south coasts as well, Bahçeköy 12.8 °C (55.0 °F), Kartal 15.03 °C (59.05 °F). Parts of the province, that are away from both seas exhibit considerable continental influences, with much more pronounced night-day and summer-winter temperature differences. In winter some parts of the province average freezing or below at night.
What climate zone is Istanbul located in?
In the Köppen–Geiger classification system, Istanbul has a borderline Mediterranean climate (Csa), humid subtropical climate (Cfa) and oceanic climate (Cfb), due to its location in a transitional climatic zone .
In the Köppen–Geiger classification system, Istanbul has a borderline Mediterranean climate (Csa), humid subtropical climate (Cfa) and oceanic climate (Cfb), due to its location in a transitional climatic zone. Since precipitation in summer months, ranges from 20 to 65 mm (1 to 3 in), depending on location, the city cannot be classified as solely Mediterranean or humid subtropical. Due to its size, diverse topography, maritime location and most importantly having a coastline to two different bodies of water to the north and south, Istanbul exhibits microclimates. The northern half of the city, as well as the Bosporus coastline, express characteristics of oceanic and humid subtropical climates, because of humidity from the Black Sea and the relatively high concentration of vegetation. The climate in the populated areas of the city to the south, located on the Sea of Marmara, is warmer, drier and less affected by humidity. The annual precipitation in the northern half can be twice as much (Bahçeköy, 1166.6 mm), than it is in the southern, Marmara coast (Florya 635.0 mm). There is a significant difference between annual mean temperatures on the north and south coasts as well, Bahçeköy 12.8 °C (55.0 °F), Kartal 15.03 °C (59.05 °F). Parts of the province, that are away from both seas exhibit considerable continental influences, with much more pronounced night-day and summer-winter temperature differences. In winter some parts of the province average freezing or below at night.
In the Köppen–Geiger classification system, Istanbul has a borderline Mediterranean climate (Csa), humid subtropical climate (Cfa) and oceanic climate (Cfb), due to its location in a <hl> transitional climatic zone <hl> .
In the Köppen–Geiger classification system, Istanbul has a borderline Mediterranean climate (Csa), humid subtropical climate (Cfa) and oceanic climate (Cfb), due to its location in a <hl> transitional climatic zone <hl>. Since precipitation in summer months, ranges from 20 to 65 mm (1 to 3 in), depending on location, the city cannot be classified as solely Mediterranean or humid subtropical. Due to its size, diverse topography, maritime location and most importantly having a coastline to two different bodies of water to the north and south, Istanbul exhibits microclimates. The northern half of the city, as well as the Bosporus coastline, express characteristics of oceanic and humid subtropical climates, because of humidity from the Black Sea and the relatively high concentration of vegetation. The climate in the populated areas of the city to the south, located on the Sea of Marmara, is warmer, drier and less affected by humidity. The annual precipitation in the northern half can be twice as much (Bahçeköy, 1166.6 mm), than it is in the southern, Marmara coast (Florya 635.0 mm). There is a significant difference between annual mean temperatures on the north and south coasts as well, Bahçeköy 12.8 °C (55.0 °F), Kartal 15.03 °C (59.05 °F). Parts of the province, that are away from both seas exhibit considerable continental influences, with much more pronounced night-day and summer-winter temperature differences. In winter some parts of the province average freezing or below at night.
<hl> In the Köppen–Geiger classification system, Istanbul has a borderline Mediterranean climate (Csa), humid subtropical climate (Cfa) and oceanic climate (Cfb), due to its location in a transitional climatic zone . <hl> Since precipitation in summer months, ranges from 20 to 65 mm (1 to 3 in), depending on location, the city cannot be classified as solely Mediterranean or humid subtropical. Due to its size, diverse topography, maritime location and most importantly having a coastline to two different bodies of water to the north and south, Istanbul exhibits microclimates. The northern half of the city, as well as the Bosporus coastline, express characteristics of oceanic and humid subtropical climates, because of humidity from the Black Sea and the relatively high concentration of vegetation. The climate in the populated areas of the city to the south, located on the Sea of Marmara, is warmer, drier and less affected by humidity. The annual precipitation in the northern half can be twice as much (Bahçeköy, 1166.6 mm), than it is in the southern, Marmara coast (Florya 635.0 mm). There is a significant difference between annual mean temperatures on the north and south coasts as well, Bahçeköy 12.8 °C (55.0 °F), Kartal 15.03 °C (59.05 °F). Parts of the province, that are away from both seas exhibit considerable continental influences, with much more pronounced night-day and summer-winter temperature differences. In winter some parts of the province average freezing or below at night.
5d67572e2b22cd4dfcfbf790
Christians
question: What religion made up half of the population in 1910?, context: The Patriarch of Constantinople has been designated Ecumenical Patriarch since the sixth century, and has subsequently come to be widely regarded as the leader of the world's 300 million Orthodox Christians. Since 1601, the Patriarchate has been based in Istanbul's Church of St. George. Into the 19th century, the Christians of Istanbul tended to be either Greek Orthodox or members of the Armenian Apostolic Church. The headquarters of the Turkish Orthodox Church are located in the city. Because of events during the 20th century—including the 1923 population exchange between Greece and Turkey, a 1942 wealth tax, and the 1955 Istanbul riots—the Greek population, originally centered in Fener and Samatya, has decreased substantially. At the start of the 21st century, Istanbul's Greek population numbered 3,000 (down from 130,000 in 1923 and 260,000 according to the Ottoman Census of 1910 of 850,000 total). There are today between 50,000 and 70,000 Armenians in Istanbul, down from 164,000 in 1913 partly due to the Armenian Genocide. Christians made up half the population of the city in 1910.
What religion made up half of the population in 1910?
The Patriarch of Constantinople has been designated Ecumenical Patriarch since the sixth century, and has subsequently come to be widely regarded as the leader of the world's 300 million Orthodox Christians .
The Patriarch of Constantinople has been designated Ecumenical Patriarch since the sixth century, and has subsequently come to be widely regarded as the leader of the world's 300 million Orthodox Christians. Since 1601, the Patriarchate has been based in Istanbul's Church of St. George. Into the 19th century, the Christians of Istanbul tended to be either Greek Orthodox or members of the Armenian Apostolic Church. The headquarters of the Turkish Orthodox Church are located in the city. Because of events during the 20th century—including the 1923 population exchange between Greece and Turkey, a 1942 wealth tax, and the 1955 Istanbul riots—the Greek population, originally centered in Fener and Samatya, has decreased substantially. At the start of the 21st century, Istanbul's Greek population numbered 3,000 (down from 130,000 in 1923 and 260,000 according to the Ottoman Census of 1910 of 850,000 total). There are today between 50,000 and 70,000 Armenians in Istanbul, down from 164,000 in 1913 partly due to the Armenian Genocide. Christians made up half the population of the city in 1910.
The Patriarch of Constantinople has been designated Ecumenical Patriarch since the sixth century, and has subsequently come to be widely regarded as the leader of the world's 300 million Orthodox <hl> Christians <hl> .
The Patriarch of Constantinople has been designated Ecumenical Patriarch since the sixth century, and has subsequently come to be widely regarded as the leader of the world's 300 million Orthodox <hl> Christians <hl>. Since 1601, the Patriarchate has been based in Istanbul's Church of St. George. Into the 19th century, the Christians of Istanbul tended to be either Greek Orthodox or members of the Armenian Apostolic Church. The headquarters of the Turkish Orthodox Church are located in the city. Because of events during the 20th century—including the 1923 population exchange between Greece and Turkey, a 1942 wealth tax, and the 1955 Istanbul riots—the Greek population, originally centered in Fener and Samatya, has decreased substantially. At the start of the 21st century, Istanbul's Greek population numbered 3,000 (down from 130,000 in 1923 and 260,000 according to the Ottoman Census of 1910 of 850,000 total). There are today between 50,000 and 70,000 Armenians in Istanbul, down from 164,000 in 1913 partly due to the Armenian Genocide. Christians made up half the population of the city in 1910.
<hl> The Patriarch of Constantinople has been designated Ecumenical Patriarch since the sixth century, and has subsequently come to be widely regarded as the leader of the world's 300 million Orthodox Christians . <hl> Since 1601, the Patriarchate has been based in Istanbul's Church of St. George. Into the 19th century, the Christians of Istanbul tended to be either Greek Orthodox or members of the Armenian Apostolic Church. The headquarters of the Turkish Orthodox Church are located in the city. Because of events during the 20th century—including the 1923 population exchange between Greece and Turkey, a 1942 wealth tax, and the 1955 Istanbul riots—the Greek population, originally centered in Fener and Samatya, has decreased substantially. At the start of the 21st century, Istanbul's Greek population numbered 3,000 (down from 130,000 in 1923 and 260,000 according to the Ottoman Census of 1910 of 850,000 total). There are today between 50,000 and 70,000 Armenians in Istanbul, down from 164,000 in 1913 partly due to the Armenian Genocide. Christians made up half the population of the city in 1910.
5d66f0572b22cd4dfcfbe662
as insurance groups
question: How do most major insurers exist?, context: Only the smallest insurers exist as a single corporation. Most major insurance companies actually exist as insurance groups. That is, they consist of holding companies which own several admitted and surplus insurers (and sometimes a few excess insurers and reinsurers as well). There are dramatic variations from one insurance group to the next in terms of how its various business functions are divided up among its subsidiaries or outsourced to third party corporations altogether. All major insurance groups in the U.S. that transact insurance in California maintain a publicly accessible list on their Web sites of the actual insurer entities within the group, as required by California Insurance Code Section 702.
How do most major insurers exist?
Most major insurance companies actually exist as insurance groups .
Only the smallest insurers exist as a single corporation. Most major insurance companies actually exist as insurance groups. That is, they consist of holding companies which own several admitted and surplus insurers (and sometimes a few excess insurers and reinsurers as well). There are dramatic variations from one insurance group to the next in terms of how its various business functions are divided up among its subsidiaries or outsourced to third party corporations altogether. All major insurance groups in the U.S. that transact insurance in California maintain a publicly accessible list on their Web sites of the actual insurer entities within the group, as required by California Insurance Code Section 702.
Most major insurance companies actually exist <hl> as insurance groups <hl> .
Only the smallest insurers exist as a single corporation. Most major insurance companies actually exist <hl> as insurance groups <hl>. That is, they consist of holding companies which own several admitted and surplus insurers (and sometimes a few excess insurers and reinsurers as well). There are dramatic variations from one insurance group to the next in terms of how its various business functions are divided up among its subsidiaries or outsourced to third party corporations altogether. All major insurance groups in the U.S. that transact insurance in California maintain a publicly accessible list on their Web sites of the actual insurer entities within the group, as required by California Insurance Code Section 702.
Only the smallest insurers exist as a single corporation. <hl> Most major insurance companies actually exist as insurance groups . <hl> That is, they consist of holding companies which own several admitted and surplus insurers (and sometimes a few excess insurers and reinsurers as well). There are dramatic variations from one insurance group to the next in terms of how its various business functions are divided up among its subsidiaries or outsourced to third party corporations altogether. All major insurance groups in the U.S. that transact insurance in California maintain a publicly accessible list on their Web sites of the actual insurer entities within the group, as required by California Insurance Code Section 702.
5d66ea992b22cd4dfcfbe529
1969–70
question: When was the first woman hockey teammate?, context: The United States Hockey League (USHL) welcomed the first female professional hockey player in 1969–70, when the Marquette Iron Rangers signed Karen Koch. One woman, Manon Rhéaume, has played in the NHL, as a goaltender for the Tampa Bay Lightning in pre-season games against the St. Louis Blues and the Boston Bruins. In 2003, Hayley Wickenheiser played with the Kirkkonummi Salamat in the Finnish men's Suomi-sarja league. Several women have competed in North American minor leagues, including Rhéaume, goaltenders Kelly Dyer and Erin Whitten and defenceman Angela Ruggiero.
When was the first woman hockey teammate?
The United States Hockey League (USHL) welcomed the first female professional hockey player in 1969–70 , when the Marquette Iron Rangers signed Karen Koch.
The United States Hockey League (USHL) welcomed the first female professional hockey player in 1969–70, when the Marquette Iron Rangers signed Karen Koch. One woman, Manon Rhéaume, has played in the NHL, as a goaltender for the Tampa Bay Lightning in pre-season games against the St. Louis Blues and the Boston Bruins. In 2003, Hayley Wickenheiser played with the Kirkkonummi Salamat in the Finnish men's Suomi-sarja league. Several women have competed in North American minor leagues, including Rhéaume, goaltenders Kelly Dyer and Erin Whitten and defenceman Angela Ruggiero.
The United States Hockey League (USHL) welcomed the first female professional hockey player in <hl> 1969–70 <hl> , when the Marquette Iron Rangers signed Karen Koch.
The United States Hockey League (USHL) welcomed the first female professional hockey player in <hl> 1969–70 <hl>, when the Marquette Iron Rangers signed Karen Koch. One woman, Manon Rhéaume, has played in the NHL, as a goaltender for the Tampa Bay Lightning in pre-season games against the St. Louis Blues and the Boston Bruins. In 2003, Hayley Wickenheiser played with the Kirkkonummi Salamat in the Finnish men's Suomi-sarja league. Several women have competed in North American minor leagues, including Rhéaume, goaltenders Kelly Dyer and Erin Whitten and defenceman Angela Ruggiero.
<hl> The United States Hockey League (USHL) welcomed the first female professional hockey player in 1969–70 , when the Marquette Iron Rangers signed Karen Koch. <hl> One woman, Manon Rhéaume, has played in the NHL, as a goaltender for the Tampa Bay Lightning in pre-season games against the St. Louis Blues and the Boston Bruins. In 2003, Hayley Wickenheiser played with the Kirkkonummi Salamat in the Finnish men's Suomi-sarja league. Several women have competed in North American minor leagues, including Rhéaume, goaltenders Kelly Dyer and Erin Whitten and defenceman Angela Ruggiero.
5d66928b2b22cd4dfcfbe2c4
386
question: how many reported violent acts were committed?, context: In recent years, largely due to the efforts of the National Coalition for the Homeless (NCH) and academic researchers, the problem of violence against the homeless has gained national attention. In their report: Hate, Violence, and Death on Mainstreet USA, the NCH reported 386 violent acts committed against homeless persons over the period, among which 155 were lethal. The NCH called those acts hate crimes (they retain the definition of the American Congress). They insist that so called bumfight videos disseminate hate against the homeless and dehumanize them.
how many reported violent acts were committed?
In their report: Hate, Violence, and Death on Mainstreet USA, the NCH reported 386 violent acts committed against homeless persons over the period, among which 155 were lethal.
In recent years, largely due to the efforts of the National Coalition for the Homeless (NCH) and academic researchers, the problem of violence against the homeless has gained national attention. In their report: Hate, Violence, and Death on Mainstreet USA, the NCH reported 386 violent acts committed against homeless persons over the period, among which 155 were lethal. The NCH called those acts hate crimes (they retain the definition of the American Congress). They insist that so called bumfight videos disseminate hate against the homeless and dehumanize them.
In their report: Hate, Violence, and Death on Mainstreet USA, the NCH reported <hl> 386 <hl> violent acts committed against homeless persons over the period, among which 155 were lethal.
In recent years, largely due to the efforts of the National Coalition for the Homeless (NCH) and academic researchers, the problem of violence against the homeless has gained national attention. In their report: Hate, Violence, and Death on Mainstreet USA, the NCH reported <hl> 386 <hl> violent acts committed against homeless persons over the period, among which 155 were lethal. The NCH called those acts hate crimes (they retain the definition of the American Congress). They insist that so called bumfight videos disseminate hate against the homeless and dehumanize them.
In recent years, largely due to the efforts of the National Coalition for the Homeless (NCH) and academic researchers, the problem of violence against the homeless has gained national attention. <hl> In their report: Hate, Violence, and Death on Mainstreet USA, the NCH reported 386 violent acts committed against homeless persons over the period, among which 155 were lethal. <hl> The NCH called those acts hate crimes (they retain the definition of the American Congress). They insist that so called bumfight videos disseminate hate against the homeless and dehumanize them.
5d6672fc2b22cd4dfcfbdf64
1960s
question: In which decade was the Whole Earth Catalog established?, context: Inspired by system and cybernetics theorists like Norbert Wiener, Marshall McLuhan and Buckminster Fuller, in the 1960s Stewart Brand started the Whole Earth Catalog and later computer networking efforts to bring Silicon Valley computer technologists and entrepreneurs together with countercultural ideas. This resulted in ideas like personal computing, virtual communities and the vision of an "electronic frontier" which would be a more decentralized, egalitarian and free-market libertarian society. Related ideas coming out of Silicon Valley included the free software and creative commons movements which produced visions of a "networked information economy".
In which decade was the Whole Earth Catalog established?
Inspired by system and cybernetics theorists like Norbert Wiener, Marshall McLuhan and Buckminster Fuller, in the 1960s Stewart Brand started the Whole Earth Catalog and later computer networking efforts to bring Silicon Valley computer technologists and entrepreneurs together with countercultural ideas.
Inspired by system and cybernetics theorists like Norbert Wiener, Marshall McLuhan and Buckminster Fuller, in the 1960s Stewart Brand started the Whole Earth Catalog and later computer networking efforts to bring Silicon Valley computer technologists and entrepreneurs together with countercultural ideas. This resulted in ideas like personal computing, virtual communities and the vision of an "electronic frontier" which would be a more decentralized, egalitarian and free-market libertarian society. Related ideas coming out of Silicon Valley included the free software and creative commons movements which produced visions of a "networked information economy".
Inspired by system and cybernetics theorists like Norbert Wiener, Marshall McLuhan and Buckminster Fuller, in the <hl> 1960s <hl> Stewart Brand started the Whole Earth Catalog and later computer networking efforts to bring Silicon Valley computer technologists and entrepreneurs together with countercultural ideas.
Inspired by system and cybernetics theorists like Norbert Wiener, Marshall McLuhan and Buckminster Fuller, in the <hl> 1960s <hl> Stewart Brand started the Whole Earth Catalog and later computer networking efforts to bring Silicon Valley computer technologists and entrepreneurs together with countercultural ideas. This resulted in ideas like personal computing, virtual communities and the vision of an "electronic frontier" which would be a more decentralized, egalitarian and free-market libertarian society. Related ideas coming out of Silicon Valley included the free software and creative commons movements which produced visions of a "networked information economy".
<hl> Inspired by system and cybernetics theorists like Norbert Wiener, Marshall McLuhan and Buckminster Fuller, in the 1960s Stewart Brand started the Whole Earth Catalog and later computer networking efforts to bring Silicon Valley computer technologists and entrepreneurs together with countercultural ideas. <hl> This resulted in ideas like personal computing, virtual communities and the vision of an "electronic frontier" which would be a more decentralized, egalitarian and free-market libertarian society. Related ideas coming out of Silicon Valley included the free software and creative commons movements which produced visions of a "networked information economy".
5d65da7f2b22cd4dfcfbcf25
baroclinic boundaries
question: Cold fronts and warm fronts are examples of what?, context: Convective rain, or showery precipitation, occurs from convective clouds, e.g., cumulonimbus or cumulus congestus. It falls as showers with rapidly changing intensity. Convective precipitation falls over a certain area for a relatively short time, as convective clouds have limited horizontal extent. Most precipitation in the tropics appears to be convective; however, it has been suggested that stratiform precipitation also occurs. Graupel and hail indicate convection. In mid-latitudes, convective precipitation is intermittent and often associated with baroclinic boundaries such as cold fronts, squall lines, and warm fronts.
Cold fronts and warm fronts are examples of what?
In mid-latitudes, convective precipitation is intermittent and often associated with baroclinic boundaries such as cold fronts, squall lines, and warm fronts.
Convective rain, or showery precipitation, occurs from convective clouds, e.g., cumulonimbus or cumulus congestus. It falls as showers with rapidly changing intensity. Convective precipitation falls over a certain area for a relatively short time, as convective clouds have limited horizontal extent. Most precipitation in the tropics appears to be convective; however, it has been suggested that stratiform precipitation also occurs. Graupel and hail indicate convection. In mid-latitudes, convective precipitation is intermittent and often associated with baroclinic boundaries such as cold fronts, squall lines, and warm fronts.
In mid-latitudes, convective precipitation is intermittent and often associated with <hl> baroclinic boundaries <hl> such as cold fronts, squall lines, and warm fronts.
Convective rain, or showery precipitation, occurs from convective clouds, e.g., cumulonimbus or cumulus congestus. It falls as showers with rapidly changing intensity. Convective precipitation falls over a certain area for a relatively short time, as convective clouds have limited horizontal extent. Most precipitation in the tropics appears to be convective; however, it has been suggested that stratiform precipitation also occurs. Graupel and hail indicate convection. In mid-latitudes, convective precipitation is intermittent and often associated with <hl> baroclinic boundaries <hl> such as cold fronts, squall lines, and warm fronts.
Convective rain, or showery precipitation, occurs from convective clouds, e.g., cumulonimbus or cumulus congestus. It falls as showers with rapidly changing intensity. Convective precipitation falls over a certain area for a relatively short time, as convective clouds have limited horizontal extent. Most precipitation in the tropics appears to be convective; however, it has been suggested that stratiform precipitation also occurs. Graupel and hail indicate convection. <hl> In mid-latitudes, convective precipitation is intermittent and often associated with baroclinic boundaries such as cold fronts, squall lines, and warm fronts. <hl>
5d6782e52b22cd4dfcfbfdb7
Kırkçeşme water supply network
question: What did aqueducts carry?, context: Istanbul's first water supply systems date back to the city's early history, when aqueducts (such as the Valens Aqueduct) deposited the water in the city's numerous cisterns. At the behest of Suleiman the Magnificent, the Kırkçeşme water supply network was constructed; by 1563, the network provided 4,200 cubic meters (150,000 cu ft) of water to 158 sites each day. In later years, in response to increasing public demand, water from various springs was channeled to public fountains, like the Fountain of Ahmed III, by means of supply lines. Today, Istanbul has a chlorinated and filtered water supply and a sewage treatment system managed by the Istanbul Water and Sewerage Administration (İSKİ).
What did aqueducts carry?
At the behest of Suleiman the Magnificent, the Kırkçeşme water supply network was constructed; by 1563, the network provided 4,200 cubic meters (150,000 cu ft) of water to 158 sites each day.
Istanbul's first water supply systems date back to the city's early history, when aqueducts (such as the Valens Aqueduct) deposited the water in the city's numerous cisterns. At the behest of Suleiman the Magnificent, the Kırkçeşme water supply network was constructed; by 1563, the network provided 4,200 cubic meters (150,000 cu ft) of water to 158 sites each day. In later years, in response to increasing public demand, water from various springs was channeled to public fountains, like the Fountain of Ahmed III, by means of supply lines. Today, Istanbul has a chlorinated and filtered water supply and a sewage treatment system managed by the Istanbul Water and Sewerage Administration (İSKİ).
At the behest of Suleiman the Magnificent, the <hl> Kırkçeşme water supply network <hl> was constructed; by 1563, the network provided 4,200 cubic meters (150,000 cu ft) of water to 158 sites each day.
Istanbul's first water supply systems date back to the city's early history, when aqueducts (such as the Valens Aqueduct) deposited the water in the city's numerous cisterns. At the behest of Suleiman the Magnificent, the <hl> Kırkçeşme water supply network <hl> was constructed; by 1563, the network provided 4,200 cubic meters (150,000 cu ft) of water to 158 sites each day. In later years, in response to increasing public demand, water from various springs was channeled to public fountains, like the Fountain of Ahmed III, by means of supply lines. Today, Istanbul has a chlorinated and filtered water supply and a sewage treatment system managed by the Istanbul Water and Sewerage Administration (İSKİ).
Istanbul's first water supply systems date back to the city's early history, when aqueducts (such as the Valens Aqueduct) deposited the water in the city's numerous cisterns. <hl> At the behest of Suleiman the Magnificent, the Kırkçeşme water supply network was constructed; by 1563, the network provided 4,200 cubic meters (150,000 cu ft) of water to 158 sites each day. <hl> In later years, in response to increasing public demand, water from various springs was channeled to public fountains, like the Fountain of Ahmed III, by means of supply lines. Today, Istanbul has a chlorinated and filtered water supply and a sewage treatment system managed by the Istanbul Water and Sewerage Administration (İSKİ).
5d65f8e42b22cd4dfcfbd4a4
Nelson
question: Which Rochkerfeller was a prominent liberal Republican?, context: Historically, the Republican Party has included a liberal wing made up of individuals who, like members of the liberal wing of the Democratic Party, believe in the power of government to improve people's lives. Before 1932 leading progressive Republicans included Theodore Roosevelt, Robert M. La Follette Sr., Charles Evan Hughes, Hiram Johnson, William Borah, George W. Norris, Hiram Johnson, and Fiorello La Guardia. Prominent liberal Republicans, 1936 to the 1970s, included Alf Landon, Wendell Willkie, Earl Warren, Thomas Dewey, Prescott Bush, Nelson Rockefeller, Henry Cabot Lodge Jr., George W. Romney, William Scranton, Charles Mathias, Lowell Weicker, and Jacob Javits. Since 1976, liberalism has virtually faded out of the Republican Party, apart from a few Northeastern holdouts.
Which Rochkerfeller was a prominent liberal Republican?
Prominent liberal Republicans, 1936 to the 1970s, included Alf Landon, Wendell Willkie, Earl Warren, Thomas Dewey, Prescott Bush, Nelson Rockefeller, Henry Cabot Lodge Jr., George W. Romney, William Scranton, Charles Mathias, Lowell Weicker, and Jacob Javits.
Historically, the Republican Party has included a liberal wing made up of individuals who, like members of the liberal wing of the Democratic Party, believe in the power of government to improve people's lives. Before 1932 leading progressive Republicans included Theodore Roosevelt, Robert M. La Follette Sr., Charles Evan Hughes, Hiram Johnson, William Borah, George W. Norris, Hiram Johnson, and Fiorello La Guardia. Prominent liberal Republicans, 1936 to the 1970s, included Alf Landon, Wendell Willkie, Earl Warren, Thomas Dewey, Prescott Bush, Nelson Rockefeller, Henry Cabot Lodge Jr., George W. Romney, William Scranton, Charles Mathias, Lowell Weicker, and Jacob Javits. Since 1976, liberalism has virtually faded out of the Republican Party, apart from a few Northeastern holdouts.
Prominent liberal Republicans, 1936 to the 1970s, included Alf Landon, Wendell Willkie, Earl Warren, Thomas Dewey, Prescott Bush, <hl> Nelson <hl> Rockefeller, Henry Cabot Lodge Jr., George W. Romney, William Scranton, Charles Mathias, Lowell Weicker, and Jacob Javits.
Historically, the Republican Party has included a liberal wing made up of individuals who, like members of the liberal wing of the Democratic Party, believe in the power of government to improve people's lives. Before 1932 leading progressive Republicans included Theodore Roosevelt, Robert M. La Follette Sr., Charles Evan Hughes, Hiram Johnson, William Borah, George W. Norris, Hiram Johnson, and Fiorello La Guardia. Prominent liberal Republicans, 1936 to the 1970s, included Alf Landon, Wendell Willkie, Earl Warren, Thomas Dewey, Prescott Bush, <hl> Nelson <hl> Rockefeller, Henry Cabot Lodge Jr., George W. Romney, William Scranton, Charles Mathias, Lowell Weicker, and Jacob Javits. Since 1976, liberalism has virtually faded out of the Republican Party, apart from a few Northeastern holdouts.
Historically, the Republican Party has included a liberal wing made up of individuals who, like members of the liberal wing of the Democratic Party, believe in the power of government to improve people's lives. Before 1932 leading progressive Republicans included Theodore Roosevelt, Robert M. La Follette Sr., Charles Evan Hughes, Hiram Johnson, William Borah, George W. Norris, Hiram Johnson, and Fiorello La Guardia. <hl> Prominent liberal Republicans, 1936 to the 1970s, included Alf Landon, Wendell Willkie, Earl Warren, Thomas Dewey, Prescott Bush, Nelson Rockefeller, Henry Cabot Lodge Jr., George W. Romney, William Scranton, Charles Mathias, Lowell Weicker, and Jacob Javits. <hl> Since 1976, liberalism has virtually faded out of the Republican Party, apart from a few Northeastern holdouts.
5d674a002b22cd4dfcfbf514
Dawn Brancati
question: Who finds that decentralization in politics reduces conflict inside states?, context: Conflict resolution Economic and/or political decentralization can help prevent or reduce conflict because they reduce actual or perceived inequities between various regions or between a region and the central government. Dawn Brancati finds that political decentralization reduces intrastate conflict unless politicians create political parties that mobilize minority and even extremist groups to demand more resources and power within national governments. However, the likelihood this will be done depends on factors like how democratic transitions happen and features like a regional party's proportion of legislative seats, a country's number of regional legislatures, elector procedures, and the order in which national and regional elections occur. Brancati holds that decentralization can promote peace if it encourages statewide parties to incorporate regional demands and limit the power of regional parties.
Who finds that decentralization in politics reduces conflict inside states?
Dawn Brancati finds that political decentralization reduces intrastate conflict unless politicians create political parties that mobilize minority and even extremist groups to demand more resources and power within national governments.
Conflict resolution Economic and/or political decentralization can help prevent or reduce conflict because they reduce actual or perceived inequities between various regions or between a region and the central government. Dawn Brancati finds that political decentralization reduces intrastate conflict unless politicians create political parties that mobilize minority and even extremist groups to demand more resources and power within national governments. However, the likelihood this will be done depends on factors like how democratic transitions happen and features like a regional party's proportion of legislative seats, a country's number of regional legislatures, elector procedures, and the order in which national and regional elections occur. Brancati holds that decentralization can promote peace if it encourages statewide parties to incorporate regional demands and limit the power of regional parties.
<hl> Dawn Brancati <hl> finds that political decentralization reduces intrastate conflict unless politicians create political parties that mobilize minority and even extremist groups to demand more resources and power within national governments.
Conflict resolution Economic and/or political decentralization can help prevent or reduce conflict because they reduce actual or perceived inequities between various regions or between a region and the central government. <hl> Dawn Brancati <hl> finds that political decentralization reduces intrastate conflict unless politicians create political parties that mobilize minority and even extremist groups to demand more resources and power within national governments. However, the likelihood this will be done depends on factors like how democratic transitions happen and features like a regional party's proportion of legislative seats, a country's number of regional legislatures, elector procedures, and the order in which national and regional elections occur. Brancati holds that decentralization can promote peace if it encourages statewide parties to incorporate regional demands and limit the power of regional parties.
Conflict resolution Economic and/or political decentralization can help prevent or reduce conflict because they reduce actual or perceived inequities between various regions or between a region and the central government. <hl> Dawn Brancati finds that political decentralization reduces intrastate conflict unless politicians create political parties that mobilize minority and even extremist groups to demand more resources and power within national governments. <hl> However, the likelihood this will be done depends on factors like how democratic transitions happen and features like a regional party's proportion of legislative seats, a country's number of regional legislatures, elector procedures, and the order in which national and regional elections occur. Brancati holds that decentralization can promote peace if it encourages statewide parties to incorporate regional demands and limit the power of regional parties.
5d660be72b22cd4dfcfbd6d4
penalty is still enforced even if the team in possession scores
question: How does the rule where the team with possession of the puck scores a goal differ from the NHL in NCAA hockey?, context: A delayed penalty call occurs when a penalty offense is committed by the team that does not have possession of the puck. In this circumstance the team with possession of the puck is allowed to complete the play; that is, play continues until a goal is scored, a player on the opposing team gains control of the puck, or the team in possession commits an infraction or penalty of their own. Because the team on which the penalty was called cannot control the puck without stopping play, it is impossible for them to score a goal. In these cases the team in possession of the puck can pull the goalie for an extra attacker without fear of being scored on. However, it is possible for the controlling team to mishandle the puck into their own net. If a delayed penalty is signaled and the team in possession scores, the penalty is still assessed to the offending player, but not served. In 2012, this rule was changed by the NCAA for college level hockey in the United States. In college games, the penalty is still enforced even if the team in possession scores.
How does the rule where the team with possession of the puck scores a goal differ from the NHL in NCAA hockey?
In college games, the penalty is still enforced even if the team in possession scores .
A delayed penalty call occurs when a penalty offense is committed by the team that does not have possession of the puck. In this circumstance the team with possession of the puck is allowed to complete the play; that is, play continues until a goal is scored, a player on the opposing team gains control of the puck, or the team in possession commits an infraction or penalty of their own. Because the team on which the penalty was called cannot control the puck without stopping play, it is impossible for them to score a goal. In these cases the team in possession of the puck can pull the goalie for an extra attacker without fear of being scored on. However, it is possible for the controlling team to mishandle the puck into their own net. If a delayed penalty is signaled and the team in possession scores, the penalty is still assessed to the offending player, but not served. In 2012, this rule was changed by the NCAA for college level hockey in the United States. In college games, the penalty is still enforced even if the team in possession scores.
In college games, the <hl> penalty is still enforced even if the team in possession scores <hl> .
A delayed penalty call occurs when a penalty offense is committed by the team that does not have possession of the puck. In this circumstance the team with possession of the puck is allowed to complete the play; that is, play continues until a goal is scored, a player on the opposing team gains control of the puck, or the team in possession commits an infraction or penalty of their own. Because the team on which the penalty was called cannot control the puck without stopping play, it is impossible for them to score a goal. In these cases the team in possession of the puck can pull the goalie for an extra attacker without fear of being scored on. However, it is possible for the controlling team to mishandle the puck into their own net. If a delayed penalty is signaled and the team in possession scores, the penalty is still assessed to the offending player, but not served. In 2012, this rule was changed by the NCAA for college level hockey in the United States. In college games, the <hl> penalty is still enforced even if the team in possession scores <hl>.
A delayed penalty call occurs when a penalty offense is committed by the team that does not have possession of the puck. In this circumstance the team with possession of the puck is allowed to complete the play; that is, play continues until a goal is scored, a player on the opposing team gains control of the puck, or the team in possession commits an infraction or penalty of their own. Because the team on which the penalty was called cannot control the puck without stopping play, it is impossible for them to score a goal. In these cases the team in possession of the puck can pull the goalie for an extra attacker without fear of being scored on. However, it is possible for the controlling team to mishandle the puck into their own net. If a delayed penalty is signaled and the team in possession scores, the penalty is still assessed to the offending player, but not served. In 2012, this rule was changed by the NCAA for college level hockey in the United States. <hl> In college games, the penalty is still enforced even if the team in possession scores . <hl>
5d669d982b22cd4dfcfbe34d
Paz
question: Despite the fact that it is not a surname by itself, what part of Luis Telmo Paz y Miño Estrella's name is used as a surname by other people?, context: Luis Telmo Paz y Miño Estrella is also known more casually as Luis Paz y Miño, Telmo Paz y Miño, or Luis Telmo Paz y Miño. He would never be regarded as Luis Estrella, Telmo Estrella, or Luis Telmo Estrella, nor as Luis Paz, Telmo Paz, or Luis Telmo Paz. This is because "Paz" alone is not his surname (although other people use the "Paz" surname on its own).
Despite the fact that it is not a surname by itself, what part of Luis Telmo Paz y Miño Estrella's name is used as a surname by other people?
Luis Telmo Paz y Miño Estrella is also known more casually as Luis Paz y Miño, Telmo Paz y Miño, or Luis Telmo Paz y Miño.
Luis Telmo Paz y Miño Estrella is also known more casually as Luis Paz y Miño, Telmo Paz y Miño, or Luis Telmo Paz y Miño. He would never be regarded as Luis Estrella, Telmo Estrella, or Luis Telmo Estrella, nor as Luis Paz, Telmo Paz, or Luis Telmo Paz. This is because "Paz" alone is not his surname (although other people use the "Paz" surname on its own).
Luis Telmo <hl> Paz <hl> y Miño Estrella is also known more casually as Luis Paz y Miño, Telmo Paz y Miño, or Luis Telmo Paz y Miño.
Luis Telmo <hl> Paz <hl> y Miño Estrella is also known more casually as Luis Paz y Miño, Telmo Paz y Miño, or Luis Telmo Paz y Miño. He would never be regarded as Luis Estrella, Telmo Estrella, or Luis Telmo Estrella, nor as Luis Paz, Telmo Paz, or Luis Telmo Paz. This is because "Paz" alone is not his surname (although other people use the "Paz" surname on its own).
<hl> Luis Telmo Paz y Miño Estrella is also known more casually as Luis Paz y Miño, Telmo Paz y Miño, or Luis Telmo Paz y Miño. <hl> He would never be regarded as Luis Estrella, Telmo Estrella, or Luis Telmo Estrella, nor as Luis Paz, Telmo Paz, or Luis Telmo Paz. This is because "Paz" alone is not his surname (although other people use the "Paz" surname on its own).
5d6768822b22cd4dfcfbfa60
The Sinan Erdem Dome
question: Where was the final of the 2010 FIBA Championship held?, context: The Sinan Erdem Dome, among the largest indoor arenas in Europe, hosted the final of the 2010 FIBA World Championship, the 2012 IAAF World Indoor Championships, and the 2011–12 Euroleague Final Four. Prior to the completion of the Sinan Erdem Dome in 2010, Abdi İpekçi Arena was Istanbul's primary indoor arena, having hosted the finals of EuroBasket 2001. Several other indoor arenas, including the Beşiktaş Akatlar Arena, have also been inaugurated since 2000, serving as the home courts of Istanbul's sports clubs. The most recent of these is the 13,800-seat Ülker Sports Arena, which opened in 2012 as the home court of Fenerbahçe's basketball teams. Despite the construction boom, five bids for the Summer Olympics—in 2000, 2004, 2008, 2012, and 2020—and national bids for UEFA Euro 2012 and UEFA Euro 2016 have ended unsuccessfully.
Where was the final of the 2010 FIBA Championship held?
The Sinan Erdem Dome , among the largest indoor arenas in Europe, hosted the final of the 2010 FIBA World Championship, the 2012 IAAF World Indoor Championships, and the 2011–12 Euroleague Final Four.
The Sinan Erdem Dome, among the largest indoor arenas in Europe, hosted the final of the 2010 FIBA World Championship, the 2012 IAAF World Indoor Championships, and the 2011–12 Euroleague Final Four. Prior to the completion of the Sinan Erdem Dome in 2010, Abdi İpekçi Arena was Istanbul's primary indoor arena, having hosted the finals of EuroBasket 2001. Several other indoor arenas, including the Beşiktaş Akatlar Arena, have also been inaugurated since 2000, serving as the home courts of Istanbul's sports clubs. The most recent of these is the 13,800-seat Ülker Sports Arena, which opened in 2012 as the home court of Fenerbahçe's basketball teams. Despite the construction boom, five bids for the Summer Olympics—in 2000, 2004, 2008, 2012, and 2020—and national bids for UEFA Euro 2012 and UEFA Euro 2016 have ended unsuccessfully.
<hl> The Sinan Erdem Dome <hl> , among the largest indoor arenas in Europe, hosted the final of the 2010 FIBA World Championship, the 2012 IAAF World Indoor Championships, and the 2011–12 Euroleague Final Four.
<hl> The Sinan Erdem Dome <hl>, among the largest indoor arenas in Europe, hosted the final of the 2010 FIBA World Championship, the 2012 IAAF World Indoor Championships, and the 2011–12 Euroleague Final Four. Prior to the completion of the Sinan Erdem Dome in 2010, Abdi İpekçi Arena was Istanbul's primary indoor arena, having hosted the finals of EuroBasket 2001. Several other indoor arenas, including the Beşiktaş Akatlar Arena, have also been inaugurated since 2000, serving as the home courts of Istanbul's sports clubs. The most recent of these is the 13,800-seat Ülker Sports Arena, which opened in 2012 as the home court of Fenerbahçe's basketball teams. Despite the construction boom, five bids for the Summer Olympics—in 2000, 2004, 2008, 2012, and 2020—and national bids for UEFA Euro 2012 and UEFA Euro 2016 have ended unsuccessfully.
<hl> The Sinan Erdem Dome , among the largest indoor arenas in Europe, hosted the final of the 2010 FIBA World Championship, the 2012 IAAF World Indoor Championships, and the 2011–12 Euroleague Final Four. <hl> Prior to the completion of the Sinan Erdem Dome in 2010, Abdi İpekçi Arena was Istanbul's primary indoor arena, having hosted the finals of EuroBasket 2001. Several other indoor arenas, including the Beşiktaş Akatlar Arena, have also been inaugurated since 2000, serving as the home courts of Istanbul's sports clubs. The most recent of these is the 13,800-seat Ülker Sports Arena, which opened in 2012 as the home court of Fenerbahçe's basketball teams. Despite the construction boom, five bids for the Summer Olympics—in 2000, 2004, 2008, 2012, and 2020—and national bids for UEFA Euro 2012 and UEFA Euro 2016 have ended unsuccessfully.
5d66060e2b22cd4dfcfbd5e2
involvement of lawyers in politics
question: What became an American characteristic during colonial times?, context: Second, in the colonies a very wide range of public and private business was decided by elected bodies, especially the assemblies and county governments in each colony. They handled land grants, commercial subsidies, and taxation, as well as oversight of roads, poor relief, taverns, and schools. Americans sued each other at a very high rate, with binding decisions made not by a great lord but by local judges and juries. This promoted the rapid expansion of the legal profession, so that the intense involvement of lawyers in politics became an American characteristic by the 1770s.
What became an American characteristic during colonial times?
This promoted the rapid expansion of the legal profession, so that the intense involvement of lawyers in politics became an American characteristic by the 1770s.
Second, in the colonies a very wide range of public and private business was decided by elected bodies, especially the assemblies and county governments in each colony. They handled land grants, commercial subsidies, and taxation, as well as oversight of roads, poor relief, taverns, and schools. Americans sued each other at a very high rate, with binding decisions made not by a great lord but by local judges and juries. This promoted the rapid expansion of the legal profession, so that the intense involvement of lawyers in politics became an American characteristic by the 1770s.
This promoted the rapid expansion of the legal profession, so that the intense <hl> involvement of lawyers in politics <hl> became an American characteristic by the 1770s.
Second, in the colonies a very wide range of public and private business was decided by elected bodies, especially the assemblies and county governments in each colony. They handled land grants, commercial subsidies, and taxation, as well as oversight of roads, poor relief, taverns, and schools. Americans sued each other at a very high rate, with binding decisions made not by a great lord but by local judges and juries. This promoted the rapid expansion of the legal profession, so that the intense <hl> involvement of lawyers in politics <hl> became an American characteristic by the 1770s.
Second, in the colonies a very wide range of public and private business was decided by elected bodies, especially the assemblies and county governments in each colony. They handled land grants, commercial subsidies, and taxation, as well as oversight of roads, poor relief, taverns, and schools. Americans sued each other at a very high rate, with binding decisions made not by a great lord but by local judges and juries. <hl> This promoted the rapid expansion of the legal profession, so that the intense involvement of lawyers in politics became an American characteristic by the 1770s. <hl>
5d6687522b22cd4dfcfbe1dd
750,000
question: How many American citizens did the HPRP monies help from becoming homeless?, context: On May 20, 2009, President Obama signed the Homeless Emergency Assistance and Rapid Transition to Housing (HEARTH) Act into Public Law (Public Law 111-22 or "PL 111-22"), reauthorizing HUD's Homeless Assistance programs. It was part of the Helping Families Save Their Homes Act of 2009. The HEARTH act allows for the prevention of homelessness, rapid re-housing, consolidation of housing programs, and new homeless categories. In the eighteen months after the bill's signing, HUD had to begin implementing the new McKinney-compliant programs. In late 2009, some homeless advocacy organizations, such as the National Coalition for the Homeless, reported and published perceived problems with the HEARTH Act of 2009 as a HUD McKinney-Vento Reauthorization bill, especially with regard to privacy, definitional ineligibility, community roles, and restrictions on eligibile activities. However, at the close of 2010 HUD reported that many communities had successfully used HPRP funds to assist those in need in their communities, and reported that the program prevented homelessness for nearly 750,000 Americans.
How many American citizens did the HPRP monies help from becoming homeless?
However, at the close of 2010 HUD reported that many communities had successfully used HPRP funds to assist those in need in their communities, and reported that the program prevented homelessness for nearly 750,000 Americans.
On May 20, 2009, President Obama signed the Homeless Emergency Assistance and Rapid Transition to Housing (HEARTH) Act into Public Law (Public Law 111-22 or "PL 111-22"), reauthorizing HUD's Homeless Assistance programs. It was part of the Helping Families Save Their Homes Act of 2009. The HEARTH act allows for the prevention of homelessness, rapid re-housing, consolidation of housing programs, and new homeless categories. In the eighteen months after the bill's signing, HUD had to begin implementing the new McKinney-compliant programs. In late 2009, some homeless advocacy organizations, such as the National Coalition for the Homeless, reported and published perceived problems with the HEARTH Act of 2009 as a HUD McKinney-Vento Reauthorization bill, especially with regard to privacy, definitional ineligibility, community roles, and restrictions on eligibile activities. However, at the close of 2010 HUD reported that many communities had successfully used HPRP funds to assist those in need in their communities, and reported that the program prevented homelessness for nearly 750,000 Americans.
However, at the close of 2010 HUD reported that many communities had successfully used HPRP funds to assist those in need in their communities, and reported that the program prevented homelessness for nearly <hl> 750,000 <hl> Americans.
On May 20, 2009, President Obama signed the Homeless Emergency Assistance and Rapid Transition to Housing (HEARTH) Act into Public Law (Public Law 111-22 or "PL 111-22"), reauthorizing HUD's Homeless Assistance programs. It was part of the Helping Families Save Their Homes Act of 2009. The HEARTH act allows for the prevention of homelessness, rapid re-housing, consolidation of housing programs, and new homeless categories. In the eighteen months after the bill's signing, HUD had to begin implementing the new McKinney-compliant programs. In late 2009, some homeless advocacy organizations, such as the National Coalition for the Homeless, reported and published perceived problems with the HEARTH Act of 2009 as a HUD McKinney-Vento Reauthorization bill, especially with regard to privacy, definitional ineligibility, community roles, and restrictions on eligibile activities. However, at the close of 2010 HUD reported that many communities had successfully used HPRP funds to assist those in need in their communities, and reported that the program prevented homelessness for nearly <hl> 750,000 <hl> Americans.
On May 20, 2009, President Obama signed the Homeless Emergency Assistance and Rapid Transition to Housing (HEARTH) Act into Public Law (Public Law 111-22 or "PL 111-22"), reauthorizing HUD's Homeless Assistance programs. It was part of the Helping Families Save Their Homes Act of 2009. The HEARTH act allows for the prevention of homelessness, rapid re-housing, consolidation of housing programs, and new homeless categories. In the eighteen months after the bill's signing, HUD had to begin implementing the new McKinney-compliant programs. In late 2009, some homeless advocacy organizations, such as the National Coalition for the Homeless, reported and published perceived problems with the HEARTH Act of 2009 as a HUD McKinney-Vento Reauthorization bill, especially with regard to privacy, definitional ineligibility, community roles, and restrictions on eligibile activities. <hl> However, at the close of 2010 HUD reported that many communities had successfully used HPRP funds to assist those in need in their communities, and reported that the program prevented homelessness for nearly 750,000 Americans. <hl>
5d65f51e2b22cd4dfcfbd3f4
adam
question: If a person's name is ben adam, what is their father's name according to the Hebrew patronymic naming convention?, context: As part of Hebrew patronymic names, Ben is followed by the father's name, e.g. ben adam (Hebrew: בן אדם‎) or Abraham ben Abraham. Bar-, "son of" in Aramaic, is used likewise, e.g. Meir Bar-Ilan. Ben (Hebrew: בֶּן‎, son of) also forms part of Hebrew names, e.g. Benjamin.
If a person's name is ben adam, what is their father's name according to the Hebrew patronymic naming convention?
As part of Hebrew patronymic names, Ben is followed by the father's name, e.g. ben adam (Hebrew: בן אדם‎) or Abraham ben Abraham.
As part of Hebrew patronymic names, Ben is followed by the father's name, e.g. ben adam (Hebrew: בן אדם‎) or Abraham ben Abraham. Bar-, "son of" in Aramaic, is used likewise, e.g. Meir Bar-Ilan. Ben (Hebrew: בֶּן‎, son of) also forms part of Hebrew names, e.g. Benjamin.
As part of Hebrew patronymic names, Ben is followed by the father's name, e.g. ben <hl> adam <hl> (Hebrew: בן אדם‎) or Abraham ben Abraham.
As part of Hebrew patronymic names, Ben is followed by the father's name, e.g. ben <hl> adam <hl> (Hebrew: בן אדם‎) or Abraham ben Abraham. Bar-, "son of" in Aramaic, is used likewise, e.g. Meir Bar-Ilan. Ben (Hebrew: בֶּן‎, son of) also forms part of Hebrew names, e.g. Benjamin.
<hl> As part of Hebrew patronymic names, Ben is followed by the father's name, e.g. ben adam (Hebrew: בן אדם‎) or Abraham ben Abraham. <hl> Bar-, "son of" in Aramaic, is used likewise, e.g. Meir Bar-Ilan. Ben (Hebrew: בֶּן‎, son of) also forms part of Hebrew names, e.g. Benjamin.
5d673c5b2b22cd4dfcfbf39e
anti-romantic
question: How can the music of Louis Anderson be described?, context: Though representing a general return to certain notions of music-making that are often considered to be classical or romantic[citation needed], not all postmodern composers have eschewed the experimentalist or academic tenets of modernism. The works of Dutch composer Louis Andriessen, for example, exhibit experimentalist preoccupation that is decidedly anti-romantic. Eclecticism and freedom of expression, in reaction to the rigidity and aesthetic limitations of modernism, are the hallmarks of the postmodern influence in musical composition.
How can the music of Louis Anderson be described?
The works of Dutch composer Louis Andriessen, for example, exhibit experimentalist preoccupation that is decidedly anti-romantic .
Though representing a general return to certain notions of music-making that are often considered to be classical or romantic[citation needed], not all postmodern composers have eschewed the experimentalist or academic tenets of modernism. The works of Dutch composer Louis Andriessen, for example, exhibit experimentalist preoccupation that is decidedly anti-romantic. Eclecticism and freedom of expression, in reaction to the rigidity and aesthetic limitations of modernism, are the hallmarks of the postmodern influence in musical composition.
The works of Dutch composer Louis Andriessen, for example, exhibit experimentalist preoccupation that is decidedly <hl> anti-romantic <hl> .
Though representing a general return to certain notions of music-making that are often considered to be classical or romantic[citation needed], not all postmodern composers have eschewed the experimentalist or academic tenets of modernism. The works of Dutch composer Louis Andriessen, for example, exhibit experimentalist preoccupation that is decidedly <hl> anti-romantic <hl>. Eclecticism and freedom of expression, in reaction to the rigidity and aesthetic limitations of modernism, are the hallmarks of the postmodern influence in musical composition.
Though representing a general return to certain notions of music-making that are often considered to be classical or romantic[citation needed], not all postmodern composers have eschewed the experimentalist or academic tenets of modernism. <hl> The works of Dutch composer Louis Andriessen, for example, exhibit experimentalist preoccupation that is decidedly anti-romantic . <hl> Eclecticism and freedom of expression, in reaction to the rigidity and aesthetic limitations of modernism, are the hallmarks of the postmodern influence in musical composition.
5d6724c12b22cd4dfcfbf091
The Board of Trustees
question: Who selects the university's Chancellor?, context: The Board of Trustees selects the university's Chancellor, who doubles as the chief academic officer and the Chief Executive Officer of the university as well as serving as an ex officio voting member of the Board or Trustees. The Chancellor is delegated with general administrative, academic, and management authority over the university. Under the Chancellor are the Provost and Senior Vice Chancellor, the Senior Vice Chancellor for Health Sciences, the deans of the various schools, the presidents of the regional campuses, department chairs, and the directors of University centers and institutes. The university is accredited by the Middle States Association of Colleges and Schools.
Who selects the university's Chancellor?
The Board of Trustees selects the university's Chancellor, who doubles as the chief academic officer and the Chief Executive Officer of the university as well as serving as an ex officio voting member of the Board or Trustees.
The Board of Trustees selects the university's Chancellor, who doubles as the chief academic officer and the Chief Executive Officer of the university as well as serving as an ex officio voting member of the Board or Trustees. The Chancellor is delegated with general administrative, academic, and management authority over the university. Under the Chancellor are the Provost and Senior Vice Chancellor, the Senior Vice Chancellor for Health Sciences, the deans of the various schools, the presidents of the regional campuses, department chairs, and the directors of University centers and institutes. The university is accredited by the Middle States Association of Colleges and Schools.
<hl> The Board of Trustees <hl> selects the university's Chancellor, who doubles as the chief academic officer and the Chief Executive Officer of the university as well as serving as an ex officio voting member of the Board or Trustees.
<hl> The Board of Trustees <hl> selects the university's Chancellor, who doubles as the chief academic officer and the Chief Executive Officer of the university as well as serving as an ex officio voting member of the Board or Trustees. The Chancellor is delegated with general administrative, academic, and management authority over the university. Under the Chancellor are the Provost and Senior Vice Chancellor, the Senior Vice Chancellor for Health Sciences, the deans of the various schools, the presidents of the regional campuses, department chairs, and the directors of University centers and institutes. The university is accredited by the Middle States Association of Colleges and Schools.
<hl> The Board of Trustees selects the university's Chancellor, who doubles as the chief academic officer and the Chief Executive Officer of the university as well as serving as an ex officio voting member of the Board or Trustees. <hl> The Chancellor is delegated with general administrative, academic, and management authority over the university. Under the Chancellor are the Provost and Senior Vice Chancellor, the Senior Vice Chancellor for Health Sciences, the deans of the various schools, the presidents of the regional campuses, department chairs, and the directors of University centers and institutes. The university is accredited by the Middle States Association of Colleges and Schools.
5d6745772b22cd4dfcfbf49c
lakes, ponds and artificial outdoor rinks during the winter
question: Where is pond hockey played?, context: Pond hockey is a form of ice hockey played generally as pick-up hockey on lakes, ponds and artificial outdoor rinks during the winter. Pond hockey is commonly referred to in hockey circles as shinny. Its rules differ from traditional hockey because there is no hitting and very little shooting, placing a greater emphasis on skating, puckhandling and passing abilities. Since 2002, the World Pond Hockey Championship has been played on Roulston Lake in Plaster Rock, New Brunswick, Canada. Since 2006, the U.S. Pond Hockey Championships have been played in Minneapolis, Minnesota, and the Canadian National Pond Hockey Championships have been played in Huntsville, Ontario.
Where is pond hockey played?
Pond hockey is a form of ice hockey played generally as pick-up hockey on lakes, ponds and artificial outdoor rinks during the winter .
Pond hockey is a form of ice hockey played generally as pick-up hockey on lakes, ponds and artificial outdoor rinks during the winter. Pond hockey is commonly referred to in hockey circles as shinny. Its rules differ from traditional hockey because there is no hitting and very little shooting, placing a greater emphasis on skating, puckhandling and passing abilities. Since 2002, the World Pond Hockey Championship has been played on Roulston Lake in Plaster Rock, New Brunswick, Canada. Since 2006, the U.S. Pond Hockey Championships have been played in Minneapolis, Minnesota, and the Canadian National Pond Hockey Championships have been played in Huntsville, Ontario.
Pond hockey is a form of ice hockey played generally as pick-up hockey on <hl> lakes, ponds and artificial outdoor rinks during the winter <hl> .
Pond hockey is a form of ice hockey played generally as pick-up hockey on <hl> lakes, ponds and artificial outdoor rinks during the winter <hl>. Pond hockey is commonly referred to in hockey circles as shinny. Its rules differ from traditional hockey because there is no hitting and very little shooting, placing a greater emphasis on skating, puckhandling and passing abilities. Since 2002, the World Pond Hockey Championship has been played on Roulston Lake in Plaster Rock, New Brunswick, Canada. Since 2006, the U.S. Pond Hockey Championships have been played in Minneapolis, Minnesota, and the Canadian National Pond Hockey Championships have been played in Huntsville, Ontario.
<hl> Pond hockey is a form of ice hockey played generally as pick-up hockey on lakes, ponds and artificial outdoor rinks during the winter . <hl> Pond hockey is commonly referred to in hockey circles as shinny. Its rules differ from traditional hockey because there is no hitting and very little shooting, placing a greater emphasis on skating, puckhandling and passing abilities. Since 2002, the World Pond Hockey Championship has been played on Roulston Lake in Plaster Rock, New Brunswick, Canada. Since 2006, the U.S. Pond Hockey Championships have been played in Minneapolis, Minnesota, and the Canadian National Pond Hockey Championships have been played in Huntsville, Ontario.
5d6621322b22cd4dfcfbd9b3
protective oxide layer
question: What prevents further oxidation with Tin?, context: Tin resists corrosion from water, but can be attacked by acids and alkalis. Tin can be highly polished and is used as a protective coat for other metals. In this case a protective oxide layer prevents further oxidation. This oxide layer forms on pewter and other tin alloys. Tin acts as a catalyst when oxygen is in solution and helps accelerate chemical attack.[clarification needed][citation needed]
What prevents further oxidation with Tin?
In this case a protective oxide layer prevents further oxidation.
Tin resists corrosion from water, but can be attacked by acids and alkalis. Tin can be highly polished and is used as a protective coat for other metals. In this case a protective oxide layer prevents further oxidation. This oxide layer forms on pewter and other tin alloys. Tin acts as a catalyst when oxygen is in solution and helps accelerate chemical attack.[clarification needed][citation needed]
In this case a <hl> protective oxide layer <hl> prevents further oxidation.
Tin resists corrosion from water, but can be attacked by acids and alkalis. Tin can be highly polished and is used as a protective coat for other metals. In this case a <hl> protective oxide layer <hl> prevents further oxidation. This oxide layer forms on pewter and other tin alloys. Tin acts as a catalyst when oxygen is in solution and helps accelerate chemical attack.[clarification needed][citation needed]
Tin resists corrosion from water, but can be attacked by acids and alkalis. Tin can be highly polished and is used as a protective coat for other metals. <hl> In this case a protective oxide layer prevents further oxidation. <hl> This oxide layer forms on pewter and other tin alloys. Tin acts as a catalyst when oxygen is in solution and helps accelerate chemical attack.[clarification needed][citation needed]
5d66ef172b22cd4dfcfbe5e3
small
question: What size flags are placed by war memorials on Memorial Day?, context: The flag is customarily flown year-round at most public buildings, and it is not unusual to find private houses flying full-size (3 by 5 feet (0.91 by 1.52 m)) flags. Some private use is year-round, but becomes widespread on civic holidays like Memorial Day, Veterans Day, Presidents' Day, Flag Day, and on Independence Day. On Memorial Day it is common to place small flags by war memorials and next to the graves of U.S. war veterans. Also on Memorial Day it is common to fly the flag at half staff, until noon, in remembrance of those who lost their lives fighting in U.S. wars.
What size flags are placed by war memorials on Memorial Day?
On Memorial Day it is common to place small flags by war memorials and next to the graves of U.S. war veterans.
The flag is customarily flown year-round at most public buildings, and it is not unusual to find private houses flying full-size (3 by 5 feet (0.91 by 1.52 m)) flags. Some private use is year-round, but becomes widespread on civic holidays like Memorial Day, Veterans Day, Presidents' Day, Flag Day, and on Independence Day. On Memorial Day it is common to place small flags by war memorials and next to the graves of U.S. war veterans. Also on Memorial Day it is common to fly the flag at half staff, until noon, in remembrance of those who lost their lives fighting in U.S. wars.
On Memorial Day it is common to place <hl> small <hl> flags by war memorials and next to the graves of U.S. war veterans.
The flag is customarily flown year-round at most public buildings, and it is not unusual to find private houses flying full-size (3 by 5 feet (0.91 by 1.52 m)) flags. Some private use is year-round, but becomes widespread on civic holidays like Memorial Day, Veterans Day, Presidents' Day, Flag Day, and on Independence Day. On Memorial Day it is common to place <hl> small <hl> flags by war memorials and next to the graves of U.S. war veterans. Also on Memorial Day it is common to fly the flag at half staff, until noon, in remembrance of those who lost their lives fighting in U.S. wars.
The flag is customarily flown year-round at most public buildings, and it is not unusual to find private houses flying full-size (3 by 5 feet (0.91 by 1.52 m)) flags. Some private use is year-round, but becomes widespread on civic holidays like Memorial Day, Veterans Day, Presidents' Day, Flag Day, and on Independence Day. <hl> On Memorial Day it is common to place small flags by war memorials and next to the graves of U.S. war veterans. <hl> Also on Memorial Day it is common to fly the flag at half staff, until noon, in remembrance of those who lost their lives fighting in U.S. wars.
5d65c07d2b22cd4dfcfbcb74
Georgian houses
question: What types of houses had a symmetrical facade?, context: Many merchants became very wealthy by providing their goods to the agricultural population and ended up dominating the society of sea port cities. Unlike yeoman farmhouses, these merchants resembled the lifestyle of that of the upper class of England living in elegant ​2 1⁄2-story houses designed the new Georgian style. These Georgian houses had a symmetrical façade with equal numbers of windows on both sides of the central door. The interior consisted of a passageway down the middle of the house with specialized rooms such as a library, dining room, formal parlor, and master bedroom off the sides. Unlike the multi-purpose space of the yeoman houses, each of these rooms served a separate purpose. In a Georgian house, men mainly used certain rooms, such as the library, while women mostly used the kitchen. These houses contained bedrooms on the second floor that provided privacy to parents and children.
What types of houses had a symmetrical facade?
These Georgian houses had a symmetrical façade with equal numbers of windows on both sides of the central door.
Many merchants became very wealthy by providing their goods to the agricultural population and ended up dominating the society of sea port cities. Unlike yeoman farmhouses, these merchants resembled the lifestyle of that of the upper class of England living in elegant ​2 1⁄2-story houses designed the new Georgian style. These Georgian houses had a symmetrical façade with equal numbers of windows on both sides of the central door. The interior consisted of a passageway down the middle of the house with specialized rooms such as a library, dining room, formal parlor, and master bedroom off the sides. Unlike the multi-purpose space of the yeoman houses, each of these rooms served a separate purpose. In a Georgian house, men mainly used certain rooms, such as the library, while women mostly used the kitchen. These houses contained bedrooms on the second floor that provided privacy to parents and children.
These <hl> Georgian houses <hl> had a symmetrical façade with equal numbers of windows on both sides of the central door.
Many merchants became very wealthy by providing their goods to the agricultural population and ended up dominating the society of sea port cities. Unlike yeoman farmhouses, these merchants resembled the lifestyle of that of the upper class of England living in elegant ​2 1⁄2-story houses designed the new Georgian style. These <hl> Georgian houses <hl> had a symmetrical façade with equal numbers of windows on both sides of the central door. The interior consisted of a passageway down the middle of the house with specialized rooms such as a library, dining room, formal parlor, and master bedroom off the sides. Unlike the multi-purpose space of the yeoman houses, each of these rooms served a separate purpose. In a Georgian house, men mainly used certain rooms, such as the library, while women mostly used the kitchen. These houses contained bedrooms on the second floor that provided privacy to parents and children.
Many merchants became very wealthy by providing their goods to the agricultural population and ended up dominating the society of sea port cities. Unlike yeoman farmhouses, these merchants resembled the lifestyle of that of the upper class of England living in elegant ​2 1⁄2-story houses designed the new Georgian style. <hl> These Georgian houses had a symmetrical façade with equal numbers of windows on both sides of the central door. <hl> The interior consisted of a passageway down the middle of the house with specialized rooms such as a library, dining room, formal parlor, and master bedroom off the sides. Unlike the multi-purpose space of the yeoman houses, each of these rooms served a separate purpose. In a Georgian house, men mainly used certain rooms, such as the library, while women mostly used the kitchen. These houses contained bedrooms on the second floor that provided privacy to parents and children.
5d65c4302b22cd4dfcfbcc36
cloud forests
question: What is another term for the humid Andean forests?, context: Lake Titicaca hosts several endemics, among them the highly endangered Titicaca flightless grebe and Titicaca water frog. A few species of hummingbirds, notably some hillstars, can be seen at altitudes above 4,000 m (13,100 ft), but far higher diversities can be found at lower altitudes, especially in the humid Andean forests ("cloud forests") growing on slopes in Colombia, Ecuador, Peru, Bolivia and far northwestern Argentina. These forest-types, which includes the Yungas and parts of the Chocó, are very rich in flora and fauna, although few large mammals exist, exceptions being the threatened mountain tapir, spectacled bear and yellow-tailed woolly monkey.
What is another term for the humid Andean forests?
A few species of hummingbirds, notably some hillstars, can be seen at altitudes above 4,000 m (13,100 ft), but far higher diversities can be found at lower altitudes, especially in the humid Andean forests (" cloud forests ") growing on slopes in Colombia, Ecuador, Peru, Bolivia and far northwestern Argentina.
Lake Titicaca hosts several endemics, among them the highly endangered Titicaca flightless grebe and Titicaca water frog. A few species of hummingbirds, notably some hillstars, can be seen at altitudes above 4,000 m (13,100 ft), but far higher diversities can be found at lower altitudes, especially in the humid Andean forests ("cloud forests") growing on slopes in Colombia, Ecuador, Peru, Bolivia and far northwestern Argentina. These forest-types, which includes the Yungas and parts of the Chocó, are very rich in flora and fauna, although few large mammals exist, exceptions being the threatened mountain tapir, spectacled bear and yellow-tailed woolly monkey.
A few species of hummingbirds, notably some hillstars, can be seen at altitudes above 4,000 m (13,100 ft), but far higher diversities can be found at lower altitudes, especially in the humid Andean forests (" <hl> cloud forests <hl> ") growing on slopes in Colombia, Ecuador, Peru, Bolivia and far northwestern Argentina.
Lake Titicaca hosts several endemics, among them the highly endangered Titicaca flightless grebe and Titicaca water frog. A few species of hummingbirds, notably some hillstars, can be seen at altitudes above 4,000 m (13,100 ft), but far higher diversities can be found at lower altitudes, especially in the humid Andean forests ("<hl> cloud forests <hl>") growing on slopes in Colombia, Ecuador, Peru, Bolivia and far northwestern Argentina. These forest-types, which includes the Yungas and parts of the Chocó, are very rich in flora and fauna, although few large mammals exist, exceptions being the threatened mountain tapir, spectacled bear and yellow-tailed woolly monkey.
Lake Titicaca hosts several endemics, among them the highly endangered Titicaca flightless grebe and Titicaca water frog. <hl> A few species of hummingbirds, notably some hillstars, can be seen at altitudes above 4,000 m (13,100 ft), but far higher diversities can be found at lower altitudes, especially in the humid Andean forests (" cloud forests ") growing on slopes in Colombia, Ecuador, Peru, Bolivia and far northwestern Argentina. <hl> These forest-types, which includes the Yungas and parts of the Chocó, are very rich in flora and fauna, although few large mammals exist, exceptions being the threatened mountain tapir, spectacled bear and yellow-tailed woolly monkey.
5d65874f2b22cd4dfcfbca07
George W. Bush
question: Which president served in 2004?, context: Owing largely to the prominence of the religious right in conservative politics in the United States, the Republican Party has taken positions regarded by many as outwardly hostile to the gay rights movement. Republicans have historically strongly opposed same-sex marriage (the party's overall attitude on civil unions is much more divided, with some in favor and others opposed), with the issue a galvanizing one that many believe helped George W. Bush win re-election in 2004. In both 2004 and 2006, congressional Republican leaders promoted the Federal Marriage Amendment, a proposed constitutional amendment which would legally restrict the definition of marriage to heterosexual couples. In both attempts, the amendment failed to secure enough votes to invoke cloture, and thus, ultimately was never passed. As more states legalized same-sex marriage in the 2010s, Republicans increasingly supported allowing each state to decide its own marriage policy. Since the Supreme Court legalized same-sex marriage nationwide in 2015, Republicans have taken a more muted stance, and the issue has lost much of its political potency.
Which president served in 2004?
Republicans have historically strongly opposed same-sex marriage (the party's overall attitude on civil unions is much more divided, with some in favor and others opposed), with the issue a galvanizing one that many believe helped George W. Bush win re-election in 2004.
Owing largely to the prominence of the religious right in conservative politics in the United States, the Republican Party has taken positions regarded by many as outwardly hostile to the gay rights movement. Republicans have historically strongly opposed same-sex marriage (the party's overall attitude on civil unions is much more divided, with some in favor and others opposed), with the issue a galvanizing one that many believe helped George W. Bush win re-election in 2004. In both 2004 and 2006, congressional Republican leaders promoted the Federal Marriage Amendment, a proposed constitutional amendment which would legally restrict the definition of marriage to heterosexual couples. In both attempts, the amendment failed to secure enough votes to invoke cloture, and thus, ultimately was never passed. As more states legalized same-sex marriage in the 2010s, Republicans increasingly supported allowing each state to decide its own marriage policy. Since the Supreme Court legalized same-sex marriage nationwide in 2015, Republicans have taken a more muted stance, and the issue has lost much of its political potency.
Republicans have historically strongly opposed same-sex marriage (the party's overall attitude on civil unions is much more divided, with some in favor and others opposed), with the issue a galvanizing one that many believe helped <hl> George W. Bush <hl> win re-election in 2004.
Owing largely to the prominence of the religious right in conservative politics in the United States, the Republican Party has taken positions regarded by many as outwardly hostile to the gay rights movement. Republicans have historically strongly opposed same-sex marriage (the party's overall attitude on civil unions is much more divided, with some in favor and others opposed), with the issue a galvanizing one that many believe helped <hl> George W. Bush <hl> win re-election in 2004. In both 2004 and 2006, congressional Republican leaders promoted the Federal Marriage Amendment, a proposed constitutional amendment which would legally restrict the definition of marriage to heterosexual couples. In both attempts, the amendment failed to secure enough votes to invoke cloture, and thus, ultimately was never passed. As more states legalized same-sex marriage in the 2010s, Republicans increasingly supported allowing each state to decide its own marriage policy. Since the Supreme Court legalized same-sex marriage nationwide in 2015, Republicans have taken a more muted stance, and the issue has lost much of its political potency.
Owing largely to the prominence of the religious right in conservative politics in the United States, the Republican Party has taken positions regarded by many as outwardly hostile to the gay rights movement. <hl> Republicans have historically strongly opposed same-sex marriage (the party's overall attitude on civil unions is much more divided, with some in favor and others opposed), with the issue a galvanizing one that many believe helped George W. Bush win re-election in 2004. <hl> In both 2004 and 2006, congressional Republican leaders promoted the Federal Marriage Amendment, a proposed constitutional amendment which would legally restrict the definition of marriage to heterosexual couples. In both attempts, the amendment failed to secure enough votes to invoke cloture, and thus, ultimately was never passed. As more states legalized same-sex marriage in the 2010s, Republicans increasingly supported allowing each state to decide its own marriage policy. Since the Supreme Court legalized same-sex marriage nationwide in 2015, Republicans have taken a more muted stance, and the issue has lost much of its political potency.
5d673acd2b22cd4dfcfbf32b
Freedom of religion
question: What did the religious settlers insure as a basic American principle?, context: Most of the settlers came from Protestant backgrounds in Britain and the Continent, with a small proportion of Catholics (chiefly in Maryland) and a few Jews in port cities. The English and the German Americans brought along multiple Protestant denominations. Several colonies had an "established" church, which meant that local tax money went to the established denomination. Freedom of religion became a basic American principle, and numerous new movements emerged, many of which became established denominations in their own right.
What did the religious settlers insure as a basic American principle?
Freedom of religion became a basic American principle, and numerous new movements emerged, many of which became established denominations in their own right.
Most of the settlers came from Protestant backgrounds in Britain and the Continent, with a small proportion of Catholics (chiefly in Maryland) and a few Jews in port cities. The English and the German Americans brought along multiple Protestant denominations. Several colonies had an "established" church, which meant that local tax money went to the established denomination. Freedom of religion became a basic American principle, and numerous new movements emerged, many of which became established denominations in their own right.
<hl> Freedom of religion <hl> became a basic American principle, and numerous new movements emerged, many of which became established denominations in their own right.
Most of the settlers came from Protestant backgrounds in Britain and the Continent, with a small proportion of Catholics (chiefly in Maryland) and a few Jews in port cities. The English and the German Americans brought along multiple Protestant denominations. Several colonies had an "established" church, which meant that local tax money went to the established denomination. <hl> Freedom of religion <hl> became a basic American principle, and numerous new movements emerged, many of which became established denominations in their own right.
Most of the settlers came from Protestant backgrounds in Britain and the Continent, with a small proportion of Catholics (chiefly in Maryland) and a few Jews in port cities. The English and the German Americans brought along multiple Protestant denominations. Several colonies had an "established" church, which meant that local tax money went to the established denomination. <hl> Freedom of religion became a basic American principle, and numerous new movements emerged, many of which became established denominations in their own right. <hl>
5d6688412b22cd4dfcfbe203
large-scale industrial production for destroying middle class shop keepers
question: Who was to blame for destroying middle class shop keepers in early 20th century America?, context: In early twentieth century America a response to the centralization of economic wealth and political power was a decentralist movement. It blamed large-scale industrial production for destroying middle class shop keepers and small manufacturers and promoted increased property ownership and a return to small scale living. The decentralist movement attracted Southern Agrarians like Robert Penn Warren, as well as journalist Herbert Agar. New Left and libertarian individuals who identified with social, economic, and often political decentralism through the ensuing years included Ralph Borsodi, Wendell Berry, Paul Goodman, Carl Oglesby, Karl Hess, Donald Livingston, Kirkpatrick Sale (author of Human Scale), Murray Bookchin, Dorothy Day, Senator Mark O. Hatfield, Mildred J. Loomis and Bill Kauffman.
Who was to blame for destroying middle class shop keepers in early 20th century America?
It blamed large-scale industrial production for destroying middle class shop keepers and small manufacturers and promoted increased property ownership and a return to small scale living.
In early twentieth century America a response to the centralization of economic wealth and political power was a decentralist movement. It blamed large-scale industrial production for destroying middle class shop keepers and small manufacturers and promoted increased property ownership and a return to small scale living. The decentralist movement attracted Southern Agrarians like Robert Penn Warren, as well as journalist Herbert Agar. New Left and libertarian individuals who identified with social, economic, and often political decentralism through the ensuing years included Ralph Borsodi, Wendell Berry, Paul Goodman, Carl Oglesby, Karl Hess, Donald Livingston, Kirkpatrick Sale (author of Human Scale), Murray Bookchin, Dorothy Day, Senator Mark O. Hatfield, Mildred J. Loomis and Bill Kauffman.
It blamed <hl> large-scale industrial production for destroying middle class shop keepers <hl> and small manufacturers and promoted increased property ownership and a return to small scale living.
In early twentieth century America a response to the centralization of economic wealth and political power was a decentralist movement. It blamed <hl> large-scale industrial production for destroying middle class shop keepers <hl> and small manufacturers and promoted increased property ownership and a return to small scale living. The decentralist movement attracted Southern Agrarians like Robert Penn Warren, as well as journalist Herbert Agar. New Left and libertarian individuals who identified with social, economic, and often political decentralism through the ensuing years included Ralph Borsodi, Wendell Berry, Paul Goodman, Carl Oglesby, Karl Hess, Donald Livingston, Kirkpatrick Sale (author of Human Scale), Murray Bookchin, Dorothy Day, Senator Mark O. Hatfield, Mildred J. Loomis and Bill Kauffman.
In early twentieth century America a response to the centralization of economic wealth and political power was a decentralist movement. <hl> It blamed large-scale industrial production for destroying middle class shop keepers and small manufacturers and promoted increased property ownership and a return to small scale living. <hl> The decentralist movement attracted Southern Agrarians like Robert Penn Warren, as well as journalist Herbert Agar. New Left and libertarian individuals who identified with social, economic, and often political decentralism through the ensuing years included Ralph Borsodi, Wendell Berry, Paul Goodman, Carl Oglesby, Karl Hess, Donald Livingston, Kirkpatrick Sale (author of Human Scale), Murray Bookchin, Dorothy Day, Senator Mark O. Hatfield, Mildred J. Loomis and Bill Kauffman.
5d6664ea2b22cd4dfcfbddae
left bank of Cowley
question: What is Oxford thought of in relation to Cowley during the 1970s?, context: Also during the 1920s, the economy and society of Oxford underwent a huge transformation as William Morris established Morris Motors Limited to mass-produce cars in Cowley, on the south-eastern edge of the city. By the early 1970s over 20,000 people worked in Cowley at the huge Morris Motors and Pressed Steel Fisher plants. By this time, Oxford was a city of two halves: the university city to the west of Magdalen Bridge and the car town to the east. This led to the witticism that "Oxford is the left bank of Cowley". Cowley suffered major job losses in the 1980s and 1990s during the decline of British Leyland, but is now producing the successful Mini for BMW on a smaller site. A large area of the original car manufacturing facility at Cowley was demolished in the 1990s and is now the site of the Oxford Business Park.
What is Oxford thought of in relation to Cowley during the 1970s?
This led to the witticism that "Oxford is the left bank of Cowley ".
Also during the 1920s, the economy and society of Oxford underwent a huge transformation as William Morris established Morris Motors Limited to mass-produce cars in Cowley, on the south-eastern edge of the city. By the early 1970s over 20,000 people worked in Cowley at the huge Morris Motors and Pressed Steel Fisher plants. By this time, Oxford was a city of two halves: the university city to the west of Magdalen Bridge and the car town to the east. This led to the witticism that "Oxford is the left bank of Cowley". Cowley suffered major job losses in the 1980s and 1990s during the decline of British Leyland, but is now producing the successful Mini for BMW on a smaller site. A large area of the original car manufacturing facility at Cowley was demolished in the 1990s and is now the site of the Oxford Business Park.
This led to the witticism that "Oxford is the <hl> left bank of Cowley <hl> ".
Also during the 1920s, the economy and society of Oxford underwent a huge transformation as William Morris established Morris Motors Limited to mass-produce cars in Cowley, on the south-eastern edge of the city. By the early 1970s over 20,000 people worked in Cowley at the huge Morris Motors and Pressed Steel Fisher plants. By this time, Oxford was a city of two halves: the university city to the west of Magdalen Bridge and the car town to the east. This led to the witticism that "Oxford is the <hl> left bank of Cowley <hl>". Cowley suffered major job losses in the 1980s and 1990s during the decline of British Leyland, but is now producing the successful Mini for BMW on a smaller site. A large area of the original car manufacturing facility at Cowley was demolished in the 1990s and is now the site of the Oxford Business Park.
Also during the 1920s, the economy and society of Oxford underwent a huge transformation as William Morris established Morris Motors Limited to mass-produce cars in Cowley, on the south-eastern edge of the city. By the early 1970s over 20,000 people worked in Cowley at the huge Morris Motors and Pressed Steel Fisher plants. By this time, Oxford was a city of two halves: the university city to the west of Magdalen Bridge and the car town to the east. <hl> This led to the witticism that "Oxford is the left bank of Cowley ". <hl> Cowley suffered major job losses in the 1980s and 1990s during the decline of British Leyland, but is now producing the successful Mini for BMW on a smaller site. A large area of the original car manufacturing facility at Cowley was demolished in the 1990s and is now the site of the Oxford Business Park.
5d6761932b22cd4dfcfbf95a
machine
question: Forces of what can vary significantly?, context: The forces which parts of a machine are subjected to can vary significantly, and can do so at a great rate. The forces which a boat or aircraft are subjected to vary enormously and will do so thousands of times over the structure's lifetime. The structural design must ensure that such structures are able to endure such loading for their entire design life without failing.
Forces of what can vary significantly?
The forces which parts of a machine are subjected to can vary significantly, and can do so at a great rate.
The forces which parts of a machine are subjected to can vary significantly, and can do so at a great rate. The forces which a boat or aircraft are subjected to vary enormously and will do so thousands of times over the structure's lifetime. The structural design must ensure that such structures are able to endure such loading for their entire design life without failing.
The forces which parts of a <hl> machine <hl> are subjected to can vary significantly, and can do so at a great rate.
The forces which parts of a <hl> machine <hl> are subjected to can vary significantly, and can do so at a great rate. The forces which a boat or aircraft are subjected to vary enormously and will do so thousands of times over the structure's lifetime. The structural design must ensure that such structures are able to endure such loading for their entire design life without failing.
<hl> The forces which parts of a machine are subjected to can vary significantly, and can do so at a great rate. <hl> The forces which a boat or aircraft are subjected to vary enormously and will do so thousands of times over the structure's lifetime. The structural design must ensure that such structures are able to endure such loading for their entire design life without failing.
5d678d0a2b22cd4dfcfbfe66
origin
question: What is assigned to a specific location or landmark?, context: Cartesian coordinates are an abstraction that have a multitude of possible applications in the real world. However, three constructive steps are involved in superimposing coordinates on a problem application. 1) Units of distance must be decided defining the spatial size represented by the numbers used as coordinates. 2) An origin must be assigned to a specific spatial location or landmark, and 3) the orientation of the axes must be defined using available directional cues for (n-1) of the n axes.
What is assigned to a specific location or landmark?
An origin must be assigned to a specific spatial location or landmark, and 3) the orientation of the axes must be defined using available directional cues for (n-1) of the n axes.
Cartesian coordinates are an abstraction that have a multitude of possible applications in the real world. However, three constructive steps are involved in superimposing coordinates on a problem application. 1) Units of distance must be decided defining the spatial size represented by the numbers used as coordinates. 2) An origin must be assigned to a specific spatial location or landmark, and 3) the orientation of the axes must be defined using available directional cues for (n-1) of the n axes.
An <hl> origin <hl> must be assigned to a specific spatial location or landmark, and 3) the orientation of the axes must be defined using available directional cues for (n-1) of the n axes.
Cartesian coordinates are an abstraction that have a multitude of possible applications in the real world. However, three constructive steps are involved in superimposing coordinates on a problem application. 1) Units of distance must be decided defining the spatial size represented by the numbers used as coordinates. 2) An <hl> origin <hl> must be assigned to a specific spatial location or landmark, and 3) the orientation of the axes must be defined using available directional cues for (n-1) of the n axes.
Cartesian coordinates are an abstraction that have a multitude of possible applications in the real world. However, three constructive steps are involved in superimposing coordinates on a problem application. 1) Units of distance must be decided defining the spatial size represented by the numbers used as coordinates. 2) <hl> An origin must be assigned to a specific spatial location or landmark, and 3) the orientation of the axes must be defined using available directional cues for (n-1) of the n axes. <hl>
5d6677952b22cd4dfcfbe017
windy and open
question: Before the 1980s and a new architectural policy, how was Rotterdam described?, context: Rotterdam was gradually rebuilt from the 1950s through to the 1970s. It remained quite windy and open until the city councils from the 1980s on began developing an active architectural policy. Daring and new styles of apartments, office buildings and recreation facilities resulted in a more 'livable' city centre with a new skyline. In the 1990s, the Kop van Zuid was built on the south bank of the river as a new business centre. Rotterdam was voted 2015 European City of the Year by the Academy of Urbanism.
Before the 1980s and a new architectural policy, how was Rotterdam described?
It remained quite windy and open until the city councils from the 1980s on began developing an active architectural policy.
Rotterdam was gradually rebuilt from the 1950s through to the 1970s. It remained quite windy and open until the city councils from the 1980s on began developing an active architectural policy. Daring and new styles of apartments, office buildings and recreation facilities resulted in a more 'livable' city centre with a new skyline. In the 1990s, the Kop van Zuid was built on the south bank of the river as a new business centre. Rotterdam was voted 2015 European City of the Year by the Academy of Urbanism.
It remained quite <hl> windy and open <hl> until the city councils from the 1980s on began developing an active architectural policy.
Rotterdam was gradually rebuilt from the 1950s through to the 1970s. It remained quite <hl> windy and open <hl> until the city councils from the 1980s on began developing an active architectural policy. Daring and new styles of apartments, office buildings and recreation facilities resulted in a more 'livable' city centre with a new skyline. In the 1990s, the Kop van Zuid was built on the south bank of the river as a new business centre. Rotterdam was voted 2015 European City of the Year by the Academy of Urbanism.
Rotterdam was gradually rebuilt from the 1950s through to the 1970s. <hl> It remained quite windy and open until the city councils from the 1980s on began developing an active architectural policy. <hl> Daring and new styles of apartments, office buildings and recreation facilities resulted in a more 'livable' city centre with a new skyline. In the 1990s, the Kop van Zuid was built on the south bank of the river as a new business centre. Rotterdam was voted 2015 European City of the Year by the Academy of Urbanism.
5d67b5ee2b22cd4dfcfbfff2
1994
question: In which year the Stewart B. McKinney Act was proposed?, context: According to the Stewart B. McKinney Act, 42 U.S.C. § 11301, et seq. (1994), a person is considered homeless if he or she "lacks a fixed, regular, and adequate nighttime residence and ... has a primary nighttime residency that is: (A) a supervised publicly or privately operated shelter designed to provide temporary living accommodations... (B) an institution that provides a temporary residence for individuals intended to be institutionalized, or (C) a public or private place not designed for, or ordinarily used as, a regular sleeping accommodation for human beings." Human Rights Watch (2010) identified emancipated teenagers in California as a new homeless population.
In which year the Stewart B. McKinney Act was proposed?
( 1994 ), a person is considered homeless if he or she "lacks a fixed, regular, and adequate nighttime residence and ... has a primary nighttime residency that is: (A) a supervised publicly or privately operated shelter designed to provide temporary living accommodations... (B) an institution that provides a temporary residence for individuals intended to be institutionalized, or (C) a public or private place not designed for, or ordinarily used as, a regular sleeping accommodation for human beings."
According to the Stewart B. McKinney Act, 42 U.S.C. § 11301, et seq. (1994), a person is considered homeless if he or she "lacks a fixed, regular, and adequate nighttime residence and ... has a primary nighttime residency that is: (A) a supervised publicly or privately operated shelter designed to provide temporary living accommodations... (B) an institution that provides a temporary residence for individuals intended to be institutionalized, or (C) a public or private place not designed for, or ordinarily used as, a regular sleeping accommodation for human beings." Human Rights Watch (2010) identified emancipated teenagers in California as a new homeless population.
( <hl> 1994 <hl> ), a person is considered homeless if he or she "lacks a fixed, regular, and adequate nighttime residence and ... has a primary nighttime residency that is: (A) a supervised publicly or privately operated shelter designed to provide temporary living accommodations... (B) an institution that provides a temporary residence for individuals intended to be institutionalized, or (C) a public or private place not designed for, or ordinarily used as, a regular sleeping accommodation for human beings."
According to the Stewart B. McKinney Act, 42 U.S.C. § 11301, et seq. (<hl> 1994 <hl>), a person is considered homeless if he or she "lacks a fixed, regular, and adequate nighttime residence and ... has a primary nighttime residency that is: (A) a supervised publicly or privately operated shelter designed to provide temporary living accommodations... (B) an institution that provides a temporary residence for individuals intended to be institutionalized, or (C) a public or private place not designed for, or ordinarily used as, a regular sleeping accommodation for human beings." Human Rights Watch (2010) identified emancipated teenagers in California as a new homeless population.
According to the Stewart B. McKinney Act, 42 U.S.C. § 11301, et seq. <hl> ( 1994 ), a person is considered homeless if he or she "lacks a fixed, regular, and adequate nighttime residence and ... has a primary nighttime residency that is: (A) a supervised publicly or privately operated shelter designed to provide temporary living accommodations... (B) an institution that provides a temporary residence for individuals intended to be institutionalized, or (C) a public or private place not designed for, or ordinarily used as, a regular sleeping accommodation for human beings." <hl> Human Rights Watch (2010) identified emancipated teenagers in California as a new homeless population.
5d6611502b22cd4dfcfbd788
eastern side
question: Where part of Andes Chile claimed the land?, context: For decades, Chile claimed ownership of land on the eastern side of the Andes. However, these claims were given up in about 1870 during the War of the Pacific between Chile, the allied Bolivia and Peru, in a diplomatic deal to keep Argentina out of the war. The Chilean Army and Chilean Navy defeated the combined forces of Bolivia and Peru, and Chile took over Bolivia's only province on the Pacific Coast, some land from Peru that was returned to Peru decades later. Bolivia has been a completely landlocked country ever since. It mostly uses seaports in eastern Argentina and Uruguay for international trade because its diplomatic relations with Chile have been suspended since 1978.
Where part of Andes Chile claimed the land?
For decades, Chile claimed ownership of land on the eastern side of the Andes.
For decades, Chile claimed ownership of land on the eastern side of the Andes. However, these claims were given up in about 1870 during the War of the Pacific between Chile, the allied Bolivia and Peru, in a diplomatic deal to keep Argentina out of the war. The Chilean Army and Chilean Navy defeated the combined forces of Bolivia and Peru, and Chile took over Bolivia's only province on the Pacific Coast, some land from Peru that was returned to Peru decades later. Bolivia has been a completely landlocked country ever since. It mostly uses seaports in eastern Argentina and Uruguay for international trade because its diplomatic relations with Chile have been suspended since 1978.
For decades, Chile claimed ownership of land on the <hl> eastern side <hl> of the Andes.
For decades, Chile claimed ownership of land on the <hl> eastern side <hl> of the Andes. However, these claims were given up in about 1870 during the War of the Pacific between Chile, the allied Bolivia and Peru, in a diplomatic deal to keep Argentina out of the war. The Chilean Army and Chilean Navy defeated the combined forces of Bolivia and Peru, and Chile took over Bolivia's only province on the Pacific Coast, some land from Peru that was returned to Peru decades later. Bolivia has been a completely landlocked country ever since. It mostly uses seaports in eastern Argentina and Uruguay for international trade because its diplomatic relations with Chile have been suspended since 1978.
<hl> For decades, Chile claimed ownership of land on the eastern side of the Andes. <hl> However, these claims were given up in about 1870 during the War of the Pacific between Chile, the allied Bolivia and Peru, in a diplomatic deal to keep Argentina out of the war. The Chilean Army and Chilean Navy defeated the combined forces of Bolivia and Peru, and Chile took over Bolivia's only province on the Pacific Coast, some land from Peru that was returned to Peru decades later. Bolivia has been a completely landlocked country ever since. It mostly uses seaports in eastern Argentina and Uruguay for international trade because its diplomatic relations with Chile have been suspended since 1978.
5d660c912b22cd4dfcfbd6fc
In North Indian states
question: Where in India do they use the surname before the given name?, context: Indian surnames may often denote caste, profession, and village and are invariably mentioned along with the personal names. However, hereditary last names are not universal. In Indian passports the surname is shown first. In telephone directories the surname is used for collation. In North Indian states the surname is placed after given names where it exists. In south India, where use of two names is by no means universal, surname is placed before personal name and in most cases it is only shown as an initial (for example 'S.' for Suryapeth).[citation needed]
Where in India do they use the surname before the given name?
In North Indian states the surname is placed after given names where it exists.
Indian surnames may often denote caste, profession, and village and are invariably mentioned along with the personal names. However, hereditary last names are not universal. In Indian passports the surname is shown first. In telephone directories the surname is used for collation. In North Indian states the surname is placed after given names where it exists. In south India, where use of two names is by no means universal, surname is placed before personal name and in most cases it is only shown as an initial (for example 'S.' for Suryapeth).[citation needed]
<hl> In North Indian states <hl> the surname is placed after given names where it exists.
Indian surnames may often denote caste, profession, and village and are invariably mentioned along with the personal names. However, hereditary last names are not universal. In Indian passports the surname is shown first. In telephone directories the surname is used for collation. <hl> In North Indian states <hl> the surname is placed after given names where it exists. In south India, where use of two names is by no means universal, surname is placed before personal name and in most cases it is only shown as an initial (for example 'S.' for Suryapeth).[citation needed]
Indian surnames may often denote caste, profession, and village and are invariably mentioned along with the personal names. However, hereditary last names are not universal. In Indian passports the surname is shown first. In telephone directories the surname is used for collation. <hl> In North Indian states the surname is placed after given names where it exists. <hl> In south India, where use of two names is by no means universal, surname is placed before personal name and in most cases it is only shown as an initial (for example 'S.' for Suryapeth).[citation needed]
5d67a5362b22cd4dfcfbfee5
Istanbul Atatürk,
question: What is Istanbul's largest air transport center called?, context: Istanbul has two international airports. The larger is Istanbul Atatürk, 24 kilometers (15 mi) west of the city center. It handled 51.2 million passengers in 2013, making it the fifth-busiest airport in Europe and the eighteenth-busiest in the world. Sabiha Gökçen International, 45 kilometers (28 mi) southeast of the city center, opened in 2001 to relieve Atatürk. Dominated by low-cost carriers, Istanbul's second airport has rapidly become popular, especially since the opening of a new international terminal in 2009; the airport handled 14.7 million passengers in 2012, a year after Airports Council International named it the world's fastest-growing airport. Atatürk has also experienced rapid growth, as its 20.6 percent rise in passenger traffic between 2011 and 2012 was the highest among the world's top 30 airports. Because of the traffic at Istanbul's current airports, a third international airport is planned for the Black Sea coast. Building a new runway at Atatürk Airport was rejected due to the cost involved; environmental concerns have also been raised with respect to the new airport. Currently under construction, the new international airport will become the largest airport in the world upon the completion of all four stages of the project, with a capacity to serve 150 million passengers per year.
What is Istanbul's largest air transport center called?
The larger is Istanbul Atatürk, 24 kilometers (15 mi) west of the city center.
Istanbul has two international airports. The larger is Istanbul Atatürk, 24 kilometers (15 mi) west of the city center. It handled 51.2 million passengers in 2013, making it the fifth-busiest airport in Europe and the eighteenth-busiest in the world. Sabiha Gökçen International, 45 kilometers (28 mi) southeast of the city center, opened in 2001 to relieve Atatürk. Dominated by low-cost carriers, Istanbul's second airport has rapidly become popular, especially since the opening of a new international terminal in 2009; the airport handled 14.7 million passengers in 2012, a year after Airports Council International named it the world's fastest-growing airport. Atatürk has also experienced rapid growth, as its 20.6 percent rise in passenger traffic between 2011 and 2012 was the highest among the world's top 30 airports. Because of the traffic at Istanbul's current airports, a third international airport is planned for the Black Sea coast. Building a new runway at Atatürk Airport was rejected due to the cost involved; environmental concerns have also been raised with respect to the new airport. Currently under construction, the new international airport will become the largest airport in the world upon the completion of all four stages of the project, with a capacity to serve 150 million passengers per year.
The larger is <hl> Istanbul Atatürk, <hl> 24 kilometers (15 mi) west of the city center.
Istanbul has two international airports. The larger is <hl> Istanbul Atatürk, <hl> 24 kilometers (15 mi) west of the city center. It handled 51.2 million passengers in 2013, making it the fifth-busiest airport in Europe and the eighteenth-busiest in the world. Sabiha Gökçen International, 45 kilometers (28 mi) southeast of the city center, opened in 2001 to relieve Atatürk. Dominated by low-cost carriers, Istanbul's second airport has rapidly become popular, especially since the opening of a new international terminal in 2009; the airport handled 14.7 million passengers in 2012, a year after Airports Council International named it the world's fastest-growing airport. Atatürk has also experienced rapid growth, as its 20.6 percent rise in passenger traffic between 2011 and 2012 was the highest among the world's top 30 airports. Because of the traffic at Istanbul's current airports, a third international airport is planned for the Black Sea coast. Building a new runway at Atatürk Airport was rejected due to the cost involved; environmental concerns have also been raised with respect to the new airport. Currently under construction, the new international airport will become the largest airport in the world upon the completion of all four stages of the project, with a capacity to serve 150 million passengers per year.
Istanbul has two international airports. <hl> The larger is Istanbul Atatürk, 24 kilometers (15 mi) west of the city center. <hl> It handled 51.2 million passengers in 2013, making it the fifth-busiest airport in Europe and the eighteenth-busiest in the world. Sabiha Gökçen International, 45 kilometers (28 mi) southeast of the city center, opened in 2001 to relieve Atatürk. Dominated by low-cost carriers, Istanbul's second airport has rapidly become popular, especially since the opening of a new international terminal in 2009; the airport handled 14.7 million passengers in 2012, a year after Airports Council International named it the world's fastest-growing airport. Atatürk has also experienced rapid growth, as its 20.6 percent rise in passenger traffic between 2011 and 2012 was the highest among the world's top 30 airports. Because of the traffic at Istanbul's current airports, a third international airport is planned for the Black Sea coast. Building a new runway at Atatürk Airport was rejected due to the cost involved; environmental concerns have also been raised with respect to the new airport. Currently under construction, the new international airport will become the largest airport in the world upon the completion of all four stages of the project, with a capacity to serve 150 million passengers per year.
5d6609472b22cd4dfcfbd67c
wax esters, fatty acid thioester coenzyme A
question: What are fatty esters composed of?, context: Examples of biologically important fatty acids include the eicosanoids, derived primarily from arachidonic acid and eicosapentaenoic acid, that include prostaglandins, leukotrienes, and thromboxanes. Docosahexaenoic acid is also important in biological systems, particularly with respect to sight. Other major lipid classes in the fatty acid category are the fatty esters and fatty amides. Fatty esters include important biochemical intermediates such as wax esters, fatty acid thioester coenzyme A derivatives, fatty acid thioester ACP derivatives and fatty acid carnitines. The fatty amides include N-acyl ethanolamines, such as the cannabinoid neurotransmitter anandamide.
What are fatty esters composed of?
Fatty esters include important biochemical intermediates such as wax esters, fatty acid thioester coenzyme A derivatives, fatty acid thioester ACP derivatives and fatty acid carnitines.
Examples of biologically important fatty acids include the eicosanoids, derived primarily from arachidonic acid and eicosapentaenoic acid, that include prostaglandins, leukotrienes, and thromboxanes. Docosahexaenoic acid is also important in biological systems, particularly with respect to sight. Other major lipid classes in the fatty acid category are the fatty esters and fatty amides. Fatty esters include important biochemical intermediates such as wax esters, fatty acid thioester coenzyme A derivatives, fatty acid thioester ACP derivatives and fatty acid carnitines. The fatty amides include N-acyl ethanolamines, such as the cannabinoid neurotransmitter anandamide.
Fatty esters include important biochemical intermediates such as <hl> wax esters, fatty acid thioester coenzyme A <hl> derivatives, fatty acid thioester ACP derivatives and fatty acid carnitines.
Examples of biologically important fatty acids include the eicosanoids, derived primarily from arachidonic acid and eicosapentaenoic acid, that include prostaglandins, leukotrienes, and thromboxanes. Docosahexaenoic acid is also important in biological systems, particularly with respect to sight. Other major lipid classes in the fatty acid category are the fatty esters and fatty amides. Fatty esters include important biochemical intermediates such as <hl> wax esters, fatty acid thioester coenzyme A <hl> derivatives, fatty acid thioester ACP derivatives and fatty acid carnitines. The fatty amides include N-acyl ethanolamines, such as the cannabinoid neurotransmitter anandamide.
Examples of biologically important fatty acids include the eicosanoids, derived primarily from arachidonic acid and eicosapentaenoic acid, that include prostaglandins, leukotrienes, and thromboxanes. Docosahexaenoic acid is also important in biological systems, particularly with respect to sight. Other major lipid classes in the fatty acid category are the fatty esters and fatty amides. <hl> Fatty esters include important biochemical intermediates such as wax esters, fatty acid thioester coenzyme A derivatives, fatty acid thioester ACP derivatives and fatty acid carnitines. <hl> The fatty amides include N-acyl ethanolamines, such as the cannabinoid neurotransmitter anandamide.
5d67d9742b22cd4dfcfc031c
sphingosine
question: What is the name for the major sphingoid base of mammals?, context: Sphingolipids are a complicated family of compounds that share a common structural feature, a sphingoid base backbone that is synthesized de novo from the amino acid serine and a long-chain fatty acyl CoA, then converted into ceramides, phosphosphingolipids, glycosphingolipids and other compounds. The major sphingoid base of mammals is commonly referred to as sphingosine. Ceramides (N-acyl-sphingoid bases) are a major subclass of sphingoid base derivatives with an amide-linked fatty acid. The fatty acids are typically saturated or mono-unsaturated with chain lengths from 16 to 26 carbon atoms.
What is the name for the major sphingoid base of mammals?
The major sphingoid base of mammals is commonly referred to as sphingosine .
Sphingolipids are a complicated family of compounds that share a common structural feature, a sphingoid base backbone that is synthesized de novo from the amino acid serine and a long-chain fatty acyl CoA, then converted into ceramides, phosphosphingolipids, glycosphingolipids and other compounds. The major sphingoid base of mammals is commonly referred to as sphingosine. Ceramides (N-acyl-sphingoid bases) are a major subclass of sphingoid base derivatives with an amide-linked fatty acid. The fatty acids are typically saturated or mono-unsaturated with chain lengths from 16 to 26 carbon atoms.
The major sphingoid base of mammals is commonly referred to as <hl> sphingosine <hl> .
Sphingolipids are a complicated family of compounds that share a common structural feature, a sphingoid base backbone that is synthesized de novo from the amino acid serine and a long-chain fatty acyl CoA, then converted into ceramides, phosphosphingolipids, glycosphingolipids and other compounds. The major sphingoid base of mammals is commonly referred to as <hl> sphingosine <hl>. Ceramides (N-acyl-sphingoid bases) are a major subclass of sphingoid base derivatives with an amide-linked fatty acid. The fatty acids are typically saturated or mono-unsaturated with chain lengths from 16 to 26 carbon atoms.
Sphingolipids are a complicated family of compounds that share a common structural feature, a sphingoid base backbone that is synthesized de novo from the amino acid serine and a long-chain fatty acyl CoA, then converted into ceramides, phosphosphingolipids, glycosphingolipids and other compounds. <hl> The major sphingoid base of mammals is commonly referred to as sphingosine . <hl> Ceramides (N-acyl-sphingoid bases) are a major subclass of sphingoid base derivatives with an amide-linked fatty acid. The fatty acids are typically saturated or mono-unsaturated with chain lengths from 16 to 26 carbon atoms.
5d6750602b22cd4dfcfbf680
Paragraph 12
question: What section of the SSAP is a near copy of the FAS 113 test?, context: Statement of Statutory Accounting Principles ("SSAP") 62, issued by the National Association of Insurance Commissioners, applies to so-called 'statutory accounting' – the accounting for insurance enterprises to conform with regulation. Paragraph 12 of SSAP 62 is nearly identical to the FAS 113 test, while paragraph 14, which is otherwise very similar to paragraph 10 of FAS 113, additionally contains a justification for the use of a single fixed rate for discounting purposes. The choice of an "reasonable and appropriate" discount rate is left as a matter of judgment.
What section of the SSAP is a near copy of the FAS 113 test?
Paragraph 12 of SSAP 62 is nearly identical to the FAS 113 test, while paragraph 14, which is otherwise very similar to paragraph 10 of FAS 113, additionally contains a justification for the use of a single fixed rate for discounting purposes.
Statement of Statutory Accounting Principles ("SSAP") 62, issued by the National Association of Insurance Commissioners, applies to so-called 'statutory accounting' – the accounting for insurance enterprises to conform with regulation. Paragraph 12 of SSAP 62 is nearly identical to the FAS 113 test, while paragraph 14, which is otherwise very similar to paragraph 10 of FAS 113, additionally contains a justification for the use of a single fixed rate for discounting purposes. The choice of an "reasonable and appropriate" discount rate is left as a matter of judgment.
<hl> Paragraph 12 <hl> of SSAP 62 is nearly identical to the FAS 113 test, while paragraph 14, which is otherwise very similar to paragraph 10 of FAS 113, additionally contains a justification for the use of a single fixed rate for discounting purposes.
Statement of Statutory Accounting Principles ("SSAP") 62, issued by the National Association of Insurance Commissioners, applies to so-called 'statutory accounting' – the accounting for insurance enterprises to conform with regulation. <hl> Paragraph 12 <hl> of SSAP 62 is nearly identical to the FAS 113 test, while paragraph 14, which is otherwise very similar to paragraph 10 of FAS 113, additionally contains a justification for the use of a single fixed rate for discounting purposes. The choice of an "reasonable and appropriate" discount rate is left as a matter of judgment.
Statement of Statutory Accounting Principles ("SSAP") 62, issued by the National Association of Insurance Commissioners, applies to so-called 'statutory accounting' – the accounting for insurance enterprises to conform with regulation. <hl> Paragraph 12 of SSAP 62 is nearly identical to the FAS 113 test, while paragraph 14, which is otherwise very similar to paragraph 10 of FAS 113, additionally contains a justification for the use of a single fixed rate for discounting purposes. <hl> The choice of an "reasonable and appropriate" discount rate is left as a matter of judgment.
5d65c7462b22cd4dfcfbccea
a variety of tax cuts and spending programs to stimulate job creation
question: What was included in the American Jobs Act?, context: President Barack Obama proposed the American Jobs Act in September 2011, which included a variety of tax cuts and spending programs to stimulate job creation. The White House provided a fact sheet which summarized the key provisions of the $447 billion bill. However, neither the House nor the Senate has passed the legislation as of December 2012. President Obama stated in October 2011: "In the coming days, members of Congress will have to take a stand on whether they believe we should put teachers, construction workers, police officers and firefighters back on the job...They'll get a vote on whether they believe we should protect tax breaks for small business owners and middle-class Americans, or whether we should protect tax breaks for millionaires and billionaires."
What was included in the American Jobs Act?
President Barack Obama proposed the American Jobs Act in September 2011, which included a variety of tax cuts and spending programs to stimulate job creation .
President Barack Obama proposed the American Jobs Act in September 2011, which included a variety of tax cuts and spending programs to stimulate job creation. The White House provided a fact sheet which summarized the key provisions of the $447 billion bill. However, neither the House nor the Senate has passed the legislation as of December 2012. President Obama stated in October 2011: "In the coming days, members of Congress will have to take a stand on whether they believe we should put teachers, construction workers, police officers and firefighters back on the job...They'll get a vote on whether they believe we should protect tax breaks for small business owners and middle-class Americans, or whether we should protect tax breaks for millionaires and billionaires."
President Barack Obama proposed the American Jobs Act in September 2011, which included <hl> a variety of tax cuts and spending programs to stimulate job creation <hl> .
President Barack Obama proposed the American Jobs Act in September 2011, which included <hl> a variety of tax cuts and spending programs to stimulate job creation <hl>. The White House provided a fact sheet which summarized the key provisions of the $447 billion bill. However, neither the House nor the Senate has passed the legislation as of December 2012. President Obama stated in October 2011: "In the coming days, members of Congress will have to take a stand on whether they believe we should put teachers, construction workers, police officers and firefighters back on the job...They'll get a vote on whether they believe we should protect tax breaks for small business owners and middle-class Americans, or whether we should protect tax breaks for millionaires and billionaires."
<hl> President Barack Obama proposed the American Jobs Act in September 2011, which included a variety of tax cuts and spending programs to stimulate job creation . <hl> The White House provided a fact sheet which summarized the key provisions of the $447 billion bill. However, neither the House nor the Senate has passed the legislation as of December 2012. President Obama stated in October 2011: "In the coming days, members of Congress will have to take a stand on whether they believe we should put teachers, construction workers, police officers and firefighters back on the job...They'll get a vote on whether they believe we should protect tax breaks for small business owners and middle-class Americans, or whether we should protect tax breaks for millionaires and billionaires."
5d676d7e2b22cd4dfcfbfb30
House
question: Which government body has an advantage in ordinary elections?, context: With proportional representation, and the small majorities in the Senate compared to the generally larger majorities in the House of Representatives, and the requirement that the number of members of the House be "nearly as practible" twice that of the Senate, a joint sitting after a double dissolution is more likely than not to lead to a victory for the House over the Senate. When the Senate had an odd number of Senators retiring at an election (3 or 5), 51% of the vote would lead to a clear majority of 3 out of 5 per state. With an even number of Senators retiring at an election, it takes 57% of the vote to win 4 out of 6 seats, which may be insurmountable. This gives the House an unintended extra advantage in joint sittings but not in ordinary elections, where the Senate may be too evenly balanced to get House legislation through.
Which government body has an advantage in ordinary elections?
With proportional representation, and the small majorities in the Senate compared to the generally larger majorities in the House of Representatives, and the requirement that the number of members of the House be "nearly as practible" twice that of the Senate, a joint sitting after a double dissolution is more likely than not to lead to a victory for the House over the Senate.
With proportional representation, and the small majorities in the Senate compared to the generally larger majorities in the House of Representatives, and the requirement that the number of members of the House be "nearly as practible" twice that of the Senate, a joint sitting after a double dissolution is more likely than not to lead to a victory for the House over the Senate. When the Senate had an odd number of Senators retiring at an election (3 or 5), 51% of the vote would lead to a clear majority of 3 out of 5 per state. With an even number of Senators retiring at an election, it takes 57% of the vote to win 4 out of 6 seats, which may be insurmountable. This gives the House an unintended extra advantage in joint sittings but not in ordinary elections, where the Senate may be too evenly balanced to get House legislation through.
With proportional representation, and the small majorities in the Senate compared to the generally larger majorities in the <hl> House <hl> of Representatives, and the requirement that the number of members of the House be "nearly as practible" twice that of the Senate, a joint sitting after a double dissolution is more likely than not to lead to a victory for the House over the Senate.
With proportional representation, and the small majorities in the Senate compared to the generally larger majorities in the <hl> House <hl> of Representatives, and the requirement that the number of members of the House be "nearly as practible" twice that of the Senate, a joint sitting after a double dissolution is more likely than not to lead to a victory for the House over the Senate. When the Senate had an odd number of Senators retiring at an election (3 or 5), 51% of the vote would lead to a clear majority of 3 out of 5 per state. With an even number of Senators retiring at an election, it takes 57% of the vote to win 4 out of 6 seats, which may be insurmountable. This gives the House an unintended extra advantage in joint sittings but not in ordinary elections, where the Senate may be too evenly balanced to get House legislation through.
<hl> With proportional representation, and the small majorities in the Senate compared to the generally larger majorities in the House of Representatives, and the requirement that the number of members of the House be "nearly as practible" twice that of the Senate, a joint sitting after a double dissolution is more likely than not to lead to a victory for the House over the Senate. <hl> When the Senate had an odd number of Senators retiring at an election (3 or 5), 51% of the vote would lead to a clear majority of 3 out of 5 per state. With an even number of Senators retiring at an election, it takes 57% of the vote to win 4 out of 6 seats, which may be insurmountable. This gives the House an unintended extra advantage in joint sittings but not in ordinary elections, where the Senate may be too evenly balanced to get House legislation through.
5d66d9322b22cd4dfcfbe4ca
Oyster harvesting
question: What is one source of income for Connecticut towns along the coastline?, context: Oyster harvesting was historically an important source of income to towns along the Connecticut coastline. In the 19th century, oystering boomed in New Haven, Bridgeport and Norwalk and achieved modest success in neighboring towns. In 1911, Connecticut's oyster production reached its peak at nearly 25 million pounds of oyster meats. This was, at the time, higher than production in New York, Rhode Island, or Massachusetts. During this time, the Connecticut coast was known, in the shellfishing industry, as the oyster capital of the world. Until 1969, Connecticut laws enacted before World War I restricted the harvesting of oysters in state-owned beds to vessels under sail. These laws prompted the construction of the oyster sloop style vessel to last well into the 20th century. The sloop Hope, completed in Greenwich in 1948, is believed to be the last oyster sloop built in Connecticut.
What is one source of income for Connecticut towns along the coastline?
Oyster harvesting was historically an important source of income to towns along the Connecticut coastline.
Oyster harvesting was historically an important source of income to towns along the Connecticut coastline. In the 19th century, oystering boomed in New Haven, Bridgeport and Norwalk and achieved modest success in neighboring towns. In 1911, Connecticut's oyster production reached its peak at nearly 25 million pounds of oyster meats. This was, at the time, higher than production in New York, Rhode Island, or Massachusetts. During this time, the Connecticut coast was known, in the shellfishing industry, as the oyster capital of the world. Until 1969, Connecticut laws enacted before World War I restricted the harvesting of oysters in state-owned beds to vessels under sail. These laws prompted the construction of the oyster sloop style vessel to last well into the 20th century. The sloop Hope, completed in Greenwich in 1948, is believed to be the last oyster sloop built in Connecticut.
<hl> Oyster harvesting <hl> was historically an important source of income to towns along the Connecticut coastline.
<hl> Oyster harvesting <hl> was historically an important source of income to towns along the Connecticut coastline. In the 19th century, oystering boomed in New Haven, Bridgeport and Norwalk and achieved modest success in neighboring towns. In 1911, Connecticut's oyster production reached its peak at nearly 25 million pounds of oyster meats. This was, at the time, higher than production in New York, Rhode Island, or Massachusetts. During this time, the Connecticut coast was known, in the shellfishing industry, as the oyster capital of the world. Until 1969, Connecticut laws enacted before World War I restricted the harvesting of oysters in state-owned beds to vessels under sail. These laws prompted the construction of the oyster sloop style vessel to last well into the 20th century. The sloop Hope, completed in Greenwich in 1948, is believed to be the last oyster sloop built in Connecticut.
<hl> Oyster harvesting was historically an important source of income to towns along the Connecticut coastline. <hl> In the 19th century, oystering boomed in New Haven, Bridgeport and Norwalk and achieved modest success in neighboring towns. In 1911, Connecticut's oyster production reached its peak at nearly 25 million pounds of oyster meats. This was, at the time, higher than production in New York, Rhode Island, or Massachusetts. During this time, the Connecticut coast was known, in the shellfishing industry, as the oyster capital of the world. Until 1969, Connecticut laws enacted before World War I restricted the harvesting of oysters in state-owned beds to vessels under sail. These laws prompted the construction of the oyster sloop style vessel to last well into the 20th century. The sloop Hope, completed in Greenwich in 1948, is believed to be the last oyster sloop built in Connecticut.
5d666a7a2b22cd4dfcfbde5e
informal
question: What will fewer votes be classified as?, context: The changes abolished group voting tickets and introduced optional preferential voting, along with party logos on the ballot paper. The ballot paper continues to have a box for each party above a heavy line, with each party's candidates in a column below that party's box below the solid line. Previously, a voter could either mark a single box above the line, which triggered the party's group voting ticket (a pre-assigned sequence of preferences), or place a number in every box below the line to assign their own preferences. As a result of the changes, voters may assign their preferences for parties above the line (numbering as many boxes as they wish), or individual candidates below the line, and are not required to fill all of the boxes. Both above and below the line voting are now optional preferential voting. For above the line, voters will be instructed to write at least their first six preferences, however, a "savings provision" will still count the ballot if less than six were given. As a result, fewer votes are expected to be classed as informal, however, more ballots will "exhaust" as a result (i.e. some votes are not counted towards electing any candidate). For below the line, voters will be required to write at least their first 12 preferences. Voters will be free to continue numbering as many preferences as they like beyond the minimum number specified. Another savings provision will allow ballot papers with at least 6 below the line preferences to be formal, catering for people who confuse the above and below the line instructions; an additional change to the savings provision will also accept below the line votes with a higher number of sequence errors than previously, treating the sequence as stopping at the first error (missed or repeated numbers).
What will fewer votes be classified as?
As a result, fewer votes are expected to be classed as informal , however, more ballots will "exhaust" as a result (i.e. some votes are not counted towards electing any candidate).
The changes abolished group voting tickets and introduced optional preferential voting, along with party logos on the ballot paper. The ballot paper continues to have a box for each party above a heavy line, with each party's candidates in a column below that party's box below the solid line. Previously, a voter could either mark a single box above the line, which triggered the party's group voting ticket (a pre-assigned sequence of preferences), or place a number in every box below the line to assign their own preferences. As a result of the changes, voters may assign their preferences for parties above the line (numbering as many boxes as they wish), or individual candidates below the line, and are not required to fill all of the boxes. Both above and below the line voting are now optional preferential voting. For above the line, voters will be instructed to write at least their first six preferences, however, a "savings provision" will still count the ballot if less than six were given. As a result, fewer votes are expected to be classed as informal, however, more ballots will "exhaust" as a result (i.e. some votes are not counted towards electing any candidate). For below the line, voters will be required to write at least their first 12 preferences. Voters will be free to continue numbering as many preferences as they like beyond the minimum number specified. Another savings provision will allow ballot papers with at least 6 below the line preferences to be formal, catering for people who confuse the above and below the line instructions; an additional change to the savings provision will also accept below the line votes with a higher number of sequence errors than previously, treating the sequence as stopping at the first error (missed or repeated numbers).
As a result, fewer votes are expected to be classed as <hl> informal <hl> , however, more ballots will "exhaust" as a result (i.e. some votes are not counted towards electing any candidate).
The changes abolished group voting tickets and introduced optional preferential voting, along with party logos on the ballot paper. The ballot paper continues to have a box for each party above a heavy line, with each party's candidates in a column below that party's box below the solid line. Previously, a voter could either mark a single box above the line, which triggered the party's group voting ticket (a pre-assigned sequence of preferences), or place a number in every box below the line to assign their own preferences. As a result of the changes, voters may assign their preferences for parties above the line (numbering as many boxes as they wish), or individual candidates below the line, and are not required to fill all of the boxes. Both above and below the line voting are now optional preferential voting. For above the line, voters will be instructed to write at least their first six preferences, however, a "savings provision" will still count the ballot if less than six were given. As a result, fewer votes are expected to be classed as <hl> informal <hl>, however, more ballots will "exhaust" as a result (i.e. some votes are not counted towards electing any candidate). For below the line, voters will be required to write at least their first 12 preferences. Voters will be free to continue numbering as many preferences as they like beyond the minimum number specified. Another savings provision will allow ballot papers with at least 6 below the line preferences to be formal, catering for people who confuse the above and below the line instructions; an additional change to the savings provision will also accept below the line votes with a higher number of sequence errors than previously, treating the sequence as stopping at the first error (missed or repeated numbers).
The changes abolished group voting tickets and introduced optional preferential voting, along with party logos on the ballot paper. The ballot paper continues to have a box for each party above a heavy line, with each party's candidates in a column below that party's box below the solid line. Previously, a voter could either mark a single box above the line, which triggered the party's group voting ticket (a pre-assigned sequence of preferences), or place a number in every box below the line to assign their own preferences. As a result of the changes, voters may assign their preferences for parties above the line (numbering as many boxes as they wish), or individual candidates below the line, and are not required to fill all of the boxes. Both above and below the line voting are now optional preferential voting. For above the line, voters will be instructed to write at least their first six preferences, however, a "savings provision" will still count the ballot if less than six were given. <hl> As a result, fewer votes are expected to be classed as informal , however, more ballots will "exhaust" as a result (i.e. some votes are not counted towards electing any candidate). <hl> For below the line, voters will be required to write at least their first 12 preferences. Voters will be free to continue numbering as many preferences as they like beyond the minimum number specified. Another savings provision will allow ballot papers with at least 6 below the line preferences to be formal, catering for people who confuse the above and below the line instructions; an additional change to the savings provision will also accept below the line votes with a higher number of sequence errors than previously, treating the sequence as stopping at the first error (missed or repeated numbers).
5d65d0ea2b22cd4dfcfbcde2
HDL cholesterol
question: What is commonly known as "bad" cholesterol?, context: The time course over which statins provide prevention against death appears to be long, of the order of one year, which is much longer than the duration of their effect on lipids. The medications niacin, fibrates and CETP Inhibitors, while they may increase HDL cholesterol do not affect the risk of cardiovascular disease in those who are already on statins.
What is commonly known as "bad" cholesterol?
The medications niacin, fibrates and CETP Inhibitors, while they may increase HDL cholesterol do not affect the risk of cardiovascular disease in those who are already on statins.
The time course over which statins provide prevention against death appears to be long, of the order of one year, which is much longer than the duration of their effect on lipids. The medications niacin, fibrates and CETP Inhibitors, while they may increase HDL cholesterol do not affect the risk of cardiovascular disease in those who are already on statins.
The medications niacin, fibrates and CETP Inhibitors, while they may increase <hl> HDL cholesterol <hl> do not affect the risk of cardiovascular disease in those who are already on statins.
The time course over which statins provide prevention against death appears to be long, of the order of one year, which is much longer than the duration of their effect on lipids. The medications niacin, fibrates and CETP Inhibitors, while they may increase <hl> HDL cholesterol <hl> do not affect the risk of cardiovascular disease in those who are already on statins.
The time course over which statins provide prevention against death appears to be long, of the order of one year, which is much longer than the duration of their effect on lipids. <hl> The medications niacin, fibrates and CETP Inhibitors, while they may increase HDL cholesterol do not affect the risk of cardiovascular disease in those who are already on statins. <hl>
5d662e222b22cd4dfcfbdaa2
led to Africa being underdeveloped
question: What was the outcome of the economic trade agreement, between the Africans and Europeans?, context: Historians have widely debated the nature of the relationship between these African kingdoms and the European traders. The Guyanese historian Walter Rodney (1972) has argued that it was an unequal relationship, with Africans being forced into a "colonial" trade with the more economically developed Europeans, exchanging raw materials and human resources (i.e. slaves) for manufactured goods. He argued that it was this economic trade agreement dating back to the 16th century that led to Africa being underdeveloped in his own time. These ideas were supported by other historians, including Ralph Austen (1987). This idea of an unequal relationship was contested by John Thornton (1998), who argued that "the Atlantic slave trade was not nearly as critical to the African economy as these scholars believed" and that "African manufacturing [at this period] was more than capable of handling competition from preindustrial Europe". However, Anne Bailey, commenting on Thornton's suggestion that Africans and Europeans were equal partners in the Atlantic slave trade, wrote:
What was the outcome of the economic trade agreement, between the Africans and Europeans?
He argued that it was this economic trade agreement dating back to the 16th century that led to Africa being underdeveloped in his own time.
Historians have widely debated the nature of the relationship between these African kingdoms and the European traders. The Guyanese historian Walter Rodney (1972) has argued that it was an unequal relationship, with Africans being forced into a "colonial" trade with the more economically developed Europeans, exchanging raw materials and human resources (i.e. slaves) for manufactured goods. He argued that it was this economic trade agreement dating back to the 16th century that led to Africa being underdeveloped in his own time. These ideas were supported by other historians, including Ralph Austen (1987). This idea of an unequal relationship was contested by John Thornton (1998), who argued that "the Atlantic slave trade was not nearly as critical to the African economy as these scholars believed" and that "African manufacturing [at this period] was more than capable of handling competition from preindustrial Europe". However, Anne Bailey, commenting on Thornton's suggestion that Africans and Europeans were equal partners in the Atlantic slave trade, wrote:
He argued that it was this economic trade agreement dating back to the 16th century that <hl> led to Africa being underdeveloped <hl> in his own time.
Historians have widely debated the nature of the relationship between these African kingdoms and the European traders. The Guyanese historian Walter Rodney (1972) has argued that it was an unequal relationship, with Africans being forced into a "colonial" trade with the more economically developed Europeans, exchanging raw materials and human resources (i.e. slaves) for manufactured goods. He argued that it was this economic trade agreement dating back to the 16th century that <hl> led to Africa being underdeveloped <hl> in his own time. These ideas were supported by other historians, including Ralph Austen (1987). This idea of an unequal relationship was contested by John Thornton (1998), who argued that "the Atlantic slave trade was not nearly as critical to the African economy as these scholars believed" and that "African manufacturing [at this period] was more than capable of handling competition from preindustrial Europe". However, Anne Bailey, commenting on Thornton's suggestion that Africans and Europeans were equal partners in the Atlantic slave trade, wrote:
Historians have widely debated the nature of the relationship between these African kingdoms and the European traders. The Guyanese historian Walter Rodney (1972) has argued that it was an unequal relationship, with Africans being forced into a "colonial" trade with the more economically developed Europeans, exchanging raw materials and human resources (i.e. slaves) for manufactured goods. <hl> He argued that it was this economic trade agreement dating back to the 16th century that led to Africa being underdeveloped in his own time. <hl> These ideas were supported by other historians, including Ralph Austen (1987). This idea of an unequal relationship was contested by John Thornton (1998), who argued that "the Atlantic slave trade was not nearly as critical to the African economy as these scholars believed" and that "African manufacturing [at this period] was more than capable of handling competition from preindustrial Europe". However, Anne Bailey, commenting on Thornton's suggestion that Africans and Europeans were equal partners in the Atlantic slave trade, wrote:
5d65f1902b22cd4dfcfbd372
1440 to about 1833
question: What year's did the African kings take part in the slave trade?, context: The first side of the triangle was the export of goods from Europe to Africa. A number of African kings and merchants took part in the trading of enslaved people from 1440 to about 1833. For each captive, the African rulers would receive a variety of goods from Europe. These included guns, ammunition and other factory made goods. The second leg of the triangle exported enslaved Africans across the Atlantic Ocean to the Americas and the Caribbean Islands. The third and final part of the triangle was the return of goods to Europe from the Americas. The goods were the products of slave-labour plantations and included cotton, sugar, tobacco, molasses and rum. Sir John Hawkins, considered the pioneer of the British slave trade, was the first to run the Triangular trade, making a profit at every stop.
What year's did the African kings take part in the slave trade?
A number of African kings and merchants took part in the trading of enslaved people from 1440 to about 1833 .
The first side of the triangle was the export of goods from Europe to Africa. A number of African kings and merchants took part in the trading of enslaved people from 1440 to about 1833. For each captive, the African rulers would receive a variety of goods from Europe. These included guns, ammunition and other factory made goods. The second leg of the triangle exported enslaved Africans across the Atlantic Ocean to the Americas and the Caribbean Islands. The third and final part of the triangle was the return of goods to Europe from the Americas. The goods were the products of slave-labour plantations and included cotton, sugar, tobacco, molasses and rum. Sir John Hawkins, considered the pioneer of the British slave trade, was the first to run the Triangular trade, making a profit at every stop.
A number of African kings and merchants took part in the trading of enslaved people from <hl> 1440 to about 1833 <hl> .
The first side of the triangle was the export of goods from Europe to Africa. A number of African kings and merchants took part in the trading of enslaved people from <hl> 1440 to about 1833 <hl>. For each captive, the African rulers would receive a variety of goods from Europe. These included guns, ammunition and other factory made goods. The second leg of the triangle exported enslaved Africans across the Atlantic Ocean to the Americas and the Caribbean Islands. The third and final part of the triangle was the return of goods to Europe from the Americas. The goods were the products of slave-labour plantations and included cotton, sugar, tobacco, molasses and rum. Sir John Hawkins, considered the pioneer of the British slave trade, was the first to run the Triangular trade, making a profit at every stop.
The first side of the triangle was the export of goods from Europe to Africa. <hl> A number of African kings and merchants took part in the trading of enslaved people from 1440 to about 1833 . <hl> For each captive, the African rulers would receive a variety of goods from Europe. These included guns, ammunition and other factory made goods. The second leg of the triangle exported enslaved Africans across the Atlantic Ocean to the Americas and the Caribbean Islands. The third and final part of the triangle was the return of goods to Europe from the Americas. The goods were the products of slave-labour plantations and included cotton, sugar, tobacco, molasses and rum. Sir John Hawkins, considered the pioneer of the British slave trade, was the first to run the Triangular trade, making a profit at every stop.
5d65f54f2b22cd4dfcfbd402
BBC Radio 1Xtra
question: What is the BBC's urban station?, context: The BBC's "urban" station BBC Radio 1Xtra used to feature the genre heavily, with DJ Bailey (show axed as of 29/08/2012) and Crissy Criss (show axed as of August 2014) as its advocates. The network also organises a week-long tour of the UK each year called Xtra Bass. London pirate radio stations have been instrumental in the development of Drum and Bass, with stations such as Kool FM (which continues to broadcast today having done so since 1991), Origin FM, Don FM (the only Drum and Bass pirate to have gained a temporary legal license), Renegade Radio 107.2FM, Rude FM, Wax Fm and Eruption among the most influential.
What is the BBC's urban station?
The BBC's "urban" station BBC Radio 1Xtra used to feature the genre heavily, with DJ Bailey (show axed as of 29/08/2012) and Crissy Criss (show axed as of August 2014) as its advocates.
The BBC's "urban" station BBC Radio 1Xtra used to feature the genre heavily, with DJ Bailey (show axed as of 29/08/2012) and Crissy Criss (show axed as of August 2014) as its advocates. The network also organises a week-long tour of the UK each year called Xtra Bass. London pirate radio stations have been instrumental in the development of Drum and Bass, with stations such as Kool FM (which continues to broadcast today having done so since 1991), Origin FM, Don FM (the only Drum and Bass pirate to have gained a temporary legal license), Renegade Radio 107.2FM, Rude FM, Wax Fm and Eruption among the most influential.
The BBC's "urban" station <hl> BBC Radio 1Xtra <hl> used to feature the genre heavily, with DJ Bailey (show axed as of 29/08/2012) and Crissy Criss (show axed as of August 2014) as its advocates.
The BBC's "urban" station <hl> BBC Radio 1Xtra <hl> used to feature the genre heavily, with DJ Bailey (show axed as of 29/08/2012) and Crissy Criss (show axed as of August 2014) as its advocates. The network also organises a week-long tour of the UK each year called Xtra Bass. London pirate radio stations have been instrumental in the development of Drum and Bass, with stations such as Kool FM (which continues to broadcast today having done so since 1991), Origin FM, Don FM (the only Drum and Bass pirate to have gained a temporary legal license), Renegade Radio 107.2FM, Rude FM, Wax Fm and Eruption among the most influential.
<hl> The BBC's "urban" station BBC Radio 1Xtra used to feature the genre heavily, with DJ Bailey (show axed as of 29/08/2012) and Crissy Criss (show axed as of August 2014) as its advocates. <hl> The network also organises a week-long tour of the UK each year called Xtra Bass. London pirate radio stations have been instrumental in the development of Drum and Bass, with stations such as Kool FM (which continues to broadcast today having done so since 1991), Origin FM, Don FM (the only Drum and Bass pirate to have gained a temporary legal license), Renegade Radio 107.2FM, Rude FM, Wax Fm and Eruption among the most influential.
5d66706d2b22cd4dfcfbdf06
Region and Language Control Panel
question: Where does one go to change the language in Windows?, context: Multilingual support is built into Windows. The language for both the keyboard and the interface can be changed through the Region and Language Control Panel. Components for all supported input languages, such as Input Method Editors, are automatically installed during Windows installation (in Windows XP and earlier, files for East Asian languages, such as Chinese, and right-to-left scripts, such as Arabic, may need to be installed separately, also from the said Control Panel). Third-party IMEs may also be installed if a user feels that the provided one is insufficient for their needs.
Where does one go to change the language in Windows?
The language for both the keyboard and the interface can be changed through the Region and Language Control Panel .
Multilingual support is built into Windows. The language for both the keyboard and the interface can be changed through the Region and Language Control Panel. Components for all supported input languages, such as Input Method Editors, are automatically installed during Windows installation (in Windows XP and earlier, files for East Asian languages, such as Chinese, and right-to-left scripts, such as Arabic, may need to be installed separately, also from the said Control Panel). Third-party IMEs may also be installed if a user feels that the provided one is insufficient for their needs.
The language for both the keyboard and the interface can be changed through the <hl> Region and Language Control Panel <hl> .
Multilingual support is built into Windows. The language for both the keyboard and the interface can be changed through the <hl> Region and Language Control Panel <hl>. Components for all supported input languages, such as Input Method Editors, are automatically installed during Windows installation (in Windows XP and earlier, files for East Asian languages, such as Chinese, and right-to-left scripts, such as Arabic, may need to be installed separately, also from the said Control Panel). Third-party IMEs may also be installed if a user feels that the provided one is insufficient for their needs.
Multilingual support is built into Windows. <hl> The language for both the keyboard and the interface can be changed through the Region and Language Control Panel . <hl> Components for all supported input languages, such as Input Method Editors, are automatically installed during Windows installation (in Windows XP and earlier, files for East Asian languages, such as Chinese, and right-to-left scripts, such as Arabic, may need to be installed separately, also from the said Control Panel). Third-party IMEs may also be installed if a user feels that the provided one is insufficient for their needs.
5d6710292b22cd4dfcfbed04
a dissident Bolshevik ideology called Trotskyism
question: What did the opposition to Stalin by Trotsky lead to?, context: In 1929, Stalin seized control of the Party. Upon Stalin attaining power, Bolshevism became associated with Stalinism, whose policies included: rapid industrialisation, Socialism in One Country, a centralised state, the collectivisation of agriculture, and the subordination of interests of other communist parties to those of the Soviet party. In 1929, he enacted harsh radical policy towards the wealthy peasantry (Kulaks) and turned against Bukharin, Rykov, and Tomsky, who favoured a more moderate approach to the Kulaks. He accused them of plotting against the Party's agreed strategy and forced them to resign from the Politburo and political office. Trotsky was exiled from the Soviet Union in 1929. Opposition to Stalin by Trotsky led to a dissident Bolshevik ideology called Trotskyism that was repressed under Stalin's rule.
What did the opposition to Stalin by Trotsky lead to?
Opposition to Stalin by Trotsky led to a dissident Bolshevik ideology called Trotskyism that was repressed under Stalin's rule.
In 1929, Stalin seized control of the Party. Upon Stalin attaining power, Bolshevism became associated with Stalinism, whose policies included: rapid industrialisation, Socialism in One Country, a centralised state, the collectivisation of agriculture, and the subordination of interests of other communist parties to those of the Soviet party. In 1929, he enacted harsh radical policy towards the wealthy peasantry (Kulaks) and turned against Bukharin, Rykov, and Tomsky, who favoured a more moderate approach to the Kulaks. He accused them of plotting against the Party's agreed strategy and forced them to resign from the Politburo and political office. Trotsky was exiled from the Soviet Union in 1929. Opposition to Stalin by Trotsky led to a dissident Bolshevik ideology called Trotskyism that was repressed under Stalin's rule.
Opposition to Stalin by Trotsky led to <hl> a dissident Bolshevik ideology called Trotskyism <hl> that was repressed under Stalin's rule.
In 1929, Stalin seized control of the Party. Upon Stalin attaining power, Bolshevism became associated with Stalinism, whose policies included: rapid industrialisation, Socialism in One Country, a centralised state, the collectivisation of agriculture, and the subordination of interests of other communist parties to those of the Soviet party. In 1929, he enacted harsh radical policy towards the wealthy peasantry (Kulaks) and turned against Bukharin, Rykov, and Tomsky, who favoured a more moderate approach to the Kulaks. He accused them of plotting against the Party's agreed strategy and forced them to resign from the Politburo and political office. Trotsky was exiled from the Soviet Union in 1929. Opposition to Stalin by Trotsky led to <hl> a dissident Bolshevik ideology called Trotskyism <hl> that was repressed under Stalin's rule.
In 1929, Stalin seized control of the Party. Upon Stalin attaining power, Bolshevism became associated with Stalinism, whose policies included: rapid industrialisation, Socialism in One Country, a centralised state, the collectivisation of agriculture, and the subordination of interests of other communist parties to those of the Soviet party. In 1929, he enacted harsh radical policy towards the wealthy peasantry (Kulaks) and turned against Bukharin, Rykov, and Tomsky, who favoured a more moderate approach to the Kulaks. He accused them of plotting against the Party's agreed strategy and forced them to resign from the Politburo and political office. Trotsky was exiled from the Soviet Union in 1929. <hl> Opposition to Stalin by Trotsky led to a dissident Bolshevik ideology called Trotskyism that was repressed under Stalin's rule. <hl>
5d675ead2b22cd4dfcfbf8f2
1890
question: What year did football start at Pitt?, context: Traditionally the most popular sport at the University of Pittsburgh, football has been played at the highest levels at the University since 1890. During the more than 100 years of competitive football at Pitt, the University has helped pioneer the sport by, among other things, instituting the use of numbers on jerseys and desegregating the Sugar Bowl. Some of college football's all-time greatest coaches and players have plied their trade at Pitt, including Pop Warner, Jock Sutherland, Marshall Goldberg, Joe Schmidt, Mike Ditka, Tony Dorsett, Hugh Green, Mark May, Dan Marino, Bill Fralic, Curtis Martin, Darrelle Revis, Russ Grimm, LeSean McCoy and Larry Fitzgerald. Among the top schools in terms of all-time wins, Pitt teams have claimed nine National Championships and boast 88 players that have been chosen as first-team All-Americans.
What year did football start at Pitt?
Traditionally the most popular sport at the University of Pittsburgh, football has been played at the highest levels at the University since 1890 .
Traditionally the most popular sport at the University of Pittsburgh, football has been played at the highest levels at the University since 1890. During the more than 100 years of competitive football at Pitt, the University has helped pioneer the sport by, among other things, instituting the use of numbers on jerseys and desegregating the Sugar Bowl. Some of college football's all-time greatest coaches and players have plied their trade at Pitt, including Pop Warner, Jock Sutherland, Marshall Goldberg, Joe Schmidt, Mike Ditka, Tony Dorsett, Hugh Green, Mark May, Dan Marino, Bill Fralic, Curtis Martin, Darrelle Revis, Russ Grimm, LeSean McCoy and Larry Fitzgerald. Among the top schools in terms of all-time wins, Pitt teams have claimed nine National Championships and boast 88 players that have been chosen as first-team All-Americans.
Traditionally the most popular sport at the University of Pittsburgh, football has been played at the highest levels at the University since <hl> 1890 <hl> .
Traditionally the most popular sport at the University of Pittsburgh, football has been played at the highest levels at the University since <hl> 1890 <hl>. During the more than 100 years of competitive football at Pitt, the University has helped pioneer the sport by, among other things, instituting the use of numbers on jerseys and desegregating the Sugar Bowl. Some of college football's all-time greatest coaches and players have plied their trade at Pitt, including Pop Warner, Jock Sutherland, Marshall Goldberg, Joe Schmidt, Mike Ditka, Tony Dorsett, Hugh Green, Mark May, Dan Marino, Bill Fralic, Curtis Martin, Darrelle Revis, Russ Grimm, LeSean McCoy and Larry Fitzgerald. Among the top schools in terms of all-time wins, Pitt teams have claimed nine National Championships and boast 88 players that have been chosen as first-team All-Americans.
<hl> Traditionally the most popular sport at the University of Pittsburgh, football has been played at the highest levels at the University since 1890 . <hl> During the more than 100 years of competitive football at Pitt, the University has helped pioneer the sport by, among other things, instituting the use of numbers on jerseys and desegregating the Sugar Bowl. Some of college football's all-time greatest coaches and players have plied their trade at Pitt, including Pop Warner, Jock Sutherland, Marshall Goldberg, Joe Schmidt, Mike Ditka, Tony Dorsett, Hugh Green, Mark May, Dan Marino, Bill Fralic, Curtis Martin, Darrelle Revis, Russ Grimm, LeSean McCoy and Larry Fitzgerald. Among the top schools in terms of all-time wins, Pitt teams have claimed nine National Championships and boast 88 players that have been chosen as first-team All-Americans.
5d66f8772b22cd4dfcfbe87b
the Frontier
question: What fifth region was added by some historians who study the eastern United States?, context: On the eastern seaboard of what would become the United States, the four distinct British regions were: New England, the Middle Colonies, the Chesapeake Bay Colonies (Upper South) and the Lower South. Some historians add a fifth region, the Frontier, which was never separately organized. By the time European settlers arrived around 1600–1650, the majority of the Native Americans living in the eastern United States had been ravaged by new diseases, introduced to them decades before by explorers and sailors.
What fifth region was added by some historians who study the eastern United States?
Some historians add a fifth region, the Frontier , which was never separately organized.
On the eastern seaboard of what would become the United States, the four distinct British regions were: New England, the Middle Colonies, the Chesapeake Bay Colonies (Upper South) and the Lower South. Some historians add a fifth region, the Frontier, which was never separately organized. By the time European settlers arrived around 1600–1650, the majority of the Native Americans living in the eastern United States had been ravaged by new diseases, introduced to them decades before by explorers and sailors.
Some historians add a fifth region, <hl> the Frontier <hl> , which was never separately organized.
On the eastern seaboard of what would become the United States, the four distinct British regions were: New England, the Middle Colonies, the Chesapeake Bay Colonies (Upper South) and the Lower South. Some historians add a fifth region, <hl> the Frontier <hl>, which was never separately organized. By the time European settlers arrived around 1600–1650, the majority of the Native Americans living in the eastern United States had been ravaged by new diseases, introduced to them decades before by explorers and sailors.
On the eastern seaboard of what would become the United States, the four distinct British regions were: New England, the Middle Colonies, the Chesapeake Bay Colonies (Upper South) and the Lower South. <hl> Some historians add a fifth region, the Frontier , which was never separately organized. <hl> By the time European settlers arrived around 1600–1650, the majority of the Native Americans living in the eastern United States had been ravaged by new diseases, introduced to them decades before by explorers and sailors.
5d66737e2b22cd4dfcfbdf80
1999
question: In what year was Radcliffe College dissolved?, context: Two of the Seven Sister colleges made transitions during and after the 1960s. The first, Radcliffe College, merged with Harvard University. Beginning in 1963, students at Radcliffe received Harvard diplomas signed by the presidents of Radcliffe and Harvard and joint commencement exercises began in 1970. The same year, several Harvard and Radcliffe dormitories began swapping students experimentally and in 1972 full co-residence was instituted. The departments of athletics of both schools merged shortly thereafter. In 1977, Harvard and Radcliffe signed an agreement which put undergraduate women entirely in Harvard College. In 1999 Radcliffe College was dissolved and Harvard University assumed full responsibility over the affairs of female undergraduates. Radcliffe is now the Radcliffe Institute for Advanced Study in Women's Studies at Harvard University.
In what year was Radcliffe College dissolved?
In 1999 Radcliffe College was dissolved and Harvard University assumed full responsibility over the affairs of female undergraduates.
Two of the Seven Sister colleges made transitions during and after the 1960s. The first, Radcliffe College, merged with Harvard University. Beginning in 1963, students at Radcliffe received Harvard diplomas signed by the presidents of Radcliffe and Harvard and joint commencement exercises began in 1970. The same year, several Harvard and Radcliffe dormitories began swapping students experimentally and in 1972 full co-residence was instituted. The departments of athletics of both schools merged shortly thereafter. In 1977, Harvard and Radcliffe signed an agreement which put undergraduate women entirely in Harvard College. In 1999 Radcliffe College was dissolved and Harvard University assumed full responsibility over the affairs of female undergraduates. Radcliffe is now the Radcliffe Institute for Advanced Study in Women's Studies at Harvard University.
In <hl> 1999 <hl> Radcliffe College was dissolved and Harvard University assumed full responsibility over the affairs of female undergraduates.
Two of the Seven Sister colleges made transitions during and after the 1960s. The first, Radcliffe College, merged with Harvard University. Beginning in 1963, students at Radcliffe received Harvard diplomas signed by the presidents of Radcliffe and Harvard and joint commencement exercises began in 1970. The same year, several Harvard and Radcliffe dormitories began swapping students experimentally and in 1972 full co-residence was instituted. The departments of athletics of both schools merged shortly thereafter. In 1977, Harvard and Radcliffe signed an agreement which put undergraduate women entirely in Harvard College. In <hl> 1999 <hl> Radcliffe College was dissolved and Harvard University assumed full responsibility over the affairs of female undergraduates. Radcliffe is now the Radcliffe Institute for Advanced Study in Women's Studies at Harvard University.
Two of the Seven Sister colleges made transitions during and after the 1960s. The first, Radcliffe College, merged with Harvard University. Beginning in 1963, students at Radcliffe received Harvard diplomas signed by the presidents of Radcliffe and Harvard and joint commencement exercises began in 1970. The same year, several Harvard and Radcliffe dormitories began swapping students experimentally and in 1972 full co-residence was instituted. The departments of athletics of both schools merged shortly thereafter. In 1977, Harvard and Radcliffe signed an agreement which put undergraduate women entirely in Harvard College. <hl> In 1999 Radcliffe College was dissolved and Harvard University assumed full responsibility over the affairs of female undergraduates. <hl> Radcliffe is now the Radcliffe Institute for Advanced Study in Women's Studies at Harvard University.
5d677b4c2b22cd4dfcfbfd1d
Upon discovering new lands through their naval explorations
question: Why did Europeans settle in lands outside Europe?, context: Upon discovering new lands through their naval explorations, European colonisers soon began to migrate to and settle in lands outside their native continent. Off the coast of Africa, European migrants, under the directions of the Kingdom of Castile, invaded and colonised the Canary Islands during the 15th century, where they converted much of the land to the production of wine and sugar. Along with this, they also captured native Canary Islanders, the Guanches, to use as slaves both on the Islands and across the Christian Mediterranean.
Why did Europeans settle in lands outside Europe?
Upon discovering new lands through their naval explorations , European colonisers soon began to migrate to and settle in lands outside their native continent.
Upon discovering new lands through their naval explorations, European colonisers soon began to migrate to and settle in lands outside their native continent. Off the coast of Africa, European migrants, under the directions of the Kingdom of Castile, invaded and colonised the Canary Islands during the 15th century, where they converted much of the land to the production of wine and sugar. Along with this, they also captured native Canary Islanders, the Guanches, to use as slaves both on the Islands and across the Christian Mediterranean.
<hl> Upon discovering new lands through their naval explorations <hl> , European colonisers soon began to migrate to and settle in lands outside their native continent.
<hl> Upon discovering new lands through their naval explorations <hl>, European colonisers soon began to migrate to and settle in lands outside their native continent. Off the coast of Africa, European migrants, under the directions of the Kingdom of Castile, invaded and colonised the Canary Islands during the 15th century, where they converted much of the land to the production of wine and sugar. Along with this, they also captured native Canary Islanders, the Guanches, to use as slaves both on the Islands and across the Christian Mediterranean.
<hl> Upon discovering new lands through their naval explorations , European colonisers soon began to migrate to and settle in lands outside their native continent. <hl> Off the coast of Africa, European migrants, under the directions of the Kingdom of Castile, invaded and colonised the Canary Islands during the 15th century, where they converted much of the land to the production of wine and sugar. Along with this, they also captured native Canary Islanders, the Guanches, to use as slaves both on the Islands and across the Christian Mediterranean.
5d669f8f2b22cd4dfcfbe368
United States amateur hockey
question: What hockey league has also introduced a new set of rules?, context: The NHL has taken steps to speed up the game of hockey and create a game of finesse, by retreating from the past where illegal hits, fights, and "clutching and grabbing" among players were commonplace. Rules are now more strictly enforced, resulting in more penalties, which in turn provides more protection to the players and facilitates more goals being scored. The governing body for United States amateur hockey has implemented many new rules to reduce the number of stick-on-body occurrences, as well as other detrimental and illegal facets of the game ("zero tolerance").
What hockey league has also introduced a new set of rules?
The governing body for United States amateur hockey has implemented many new rules to reduce the number of stick-on-body occurrences, as well as other detrimental and illegal facets of the game ("zero tolerance").
The NHL has taken steps to speed up the game of hockey and create a game of finesse, by retreating from the past where illegal hits, fights, and "clutching and grabbing" among players were commonplace. Rules are now more strictly enforced, resulting in more penalties, which in turn provides more protection to the players and facilitates more goals being scored. The governing body for United States amateur hockey has implemented many new rules to reduce the number of stick-on-body occurrences, as well as other detrimental and illegal facets of the game ("zero tolerance").
The governing body for <hl> United States amateur hockey <hl> has implemented many new rules to reduce the number of stick-on-body occurrences, as well as other detrimental and illegal facets of the game ("zero tolerance").
The NHL has taken steps to speed up the game of hockey and create a game of finesse, by retreating from the past where illegal hits, fights, and "clutching and grabbing" among players were commonplace. Rules are now more strictly enforced, resulting in more penalties, which in turn provides more protection to the players and facilitates more goals being scored. The governing body for <hl> United States amateur hockey <hl> has implemented many new rules to reduce the number of stick-on-body occurrences, as well as other detrimental and illegal facets of the game ("zero tolerance").
The NHL has taken steps to speed up the game of hockey and create a game of finesse, by retreating from the past where illegal hits, fights, and "clutching and grabbing" among players were commonplace. Rules are now more strictly enforced, resulting in more penalties, which in turn provides more protection to the players and facilitates more goals being scored. <hl> The governing body for United States amateur hockey has implemented many new rules to reduce the number of stick-on-body occurrences, as well as other detrimental and illegal facets of the game ("zero tolerance"). <hl>
5d669c142b22cd4dfcfbe344
static and dynamic
question: What are the two types of building loading?, context: The role of a structural engineer today involves a significant understanding of both static and dynamic loading, and the structures that are available to resist them. The complexity of modern structures often requires a great deal of creativity from the engineer in order to ensure the structures support and resist the loads they are subjected to. A structural engineer will typically have a four or five year undergraduate degree, followed by a minimum of three years of professional practice before being considered fully qualified. Structural engineers are licensed or accredited by different learned societies and regulatory bodies around the world (for example, the Institution of Structural Engineers in the UK). Depending on the degree course they have studied and/or the jurisdiction they are seeking licensure in, they may be accredited (or licensed) as just structural engineers, or as civil engineers, or as both civil and structural engineers. Another international organisation is IABSE (International Association for Bridge and Structural Engineering). The aim of that association is to exchange knowledge and to advance the practice of structural engineering worldwide in the service of the profession and society.
What are the two types of building loading?
The role of a structural engineer today involves a significant understanding of both static and dynamic loading, and the structures that are available to resist them.
The role of a structural engineer today involves a significant understanding of both static and dynamic loading, and the structures that are available to resist them. The complexity of modern structures often requires a great deal of creativity from the engineer in order to ensure the structures support and resist the loads they are subjected to. A structural engineer will typically have a four or five year undergraduate degree, followed by a minimum of three years of professional practice before being considered fully qualified. Structural engineers are licensed or accredited by different learned societies and regulatory bodies around the world (for example, the Institution of Structural Engineers in the UK). Depending on the degree course they have studied and/or the jurisdiction they are seeking licensure in, they may be accredited (or licensed) as just structural engineers, or as civil engineers, or as both civil and structural engineers. Another international organisation is IABSE (International Association for Bridge and Structural Engineering). The aim of that association is to exchange knowledge and to advance the practice of structural engineering worldwide in the service of the profession and society.
The role of a structural engineer today involves a significant understanding of both <hl> static and dynamic <hl> loading, and the structures that are available to resist them.
The role of a structural engineer today involves a significant understanding of both <hl> static and dynamic <hl> loading, and the structures that are available to resist them. The complexity of modern structures often requires a great deal of creativity from the engineer in order to ensure the structures support and resist the loads they are subjected to. A structural engineer will typically have a four or five year undergraduate degree, followed by a minimum of three years of professional practice before being considered fully qualified. Structural engineers are licensed or accredited by different learned societies and regulatory bodies around the world (for example, the Institution of Structural Engineers in the UK). Depending on the degree course they have studied and/or the jurisdiction they are seeking licensure in, they may be accredited (or licensed) as just structural engineers, or as civil engineers, or as both civil and structural engineers. Another international organisation is IABSE (International Association for Bridge and Structural Engineering). The aim of that association is to exchange knowledge and to advance the practice of structural engineering worldwide in the service of the profession and society.
<hl> The role of a structural engineer today involves a significant understanding of both static and dynamic loading, and the structures that are available to resist them. <hl> The complexity of modern structures often requires a great deal of creativity from the engineer in order to ensure the structures support and resist the loads they are subjected to. A structural engineer will typically have a four or five year undergraduate degree, followed by a minimum of three years of professional practice before being considered fully qualified. Structural engineers are licensed or accredited by different learned societies and regulatory bodies around the world (for example, the Institution of Structural Engineers in the UK). Depending on the degree course they have studied and/or the jurisdiction they are seeking licensure in, they may be accredited (or licensed) as just structural engineers, or as civil engineers, or as both civil and structural engineers. Another international organisation is IABSE (International Association for Bridge and Structural Engineering). The aim of that association is to exchange knowledge and to advance the practice of structural engineering worldwide in the service of the profession and society.
5d675d752b22cd4dfcfbf8b0
Italian fascists, and suspected collaborationists
question: Who were killed in the foibe massacres?, context: The repatriations at Bleiburg (although scholars disagree on how many people died and no number has been officially recognized or agreed upon) of retreating columns of Chetnik and Slovene Home Guard troops, and soldiers of the Armed Forces of the Independent State of Croatia and thousands of civilians heading or retreating towards Austria to surrender to western Allied forces, have been called a "massacre". The "foibe massacres" draw their name from the "foibe" pits in which Croatian Partisans of the 8th Dalmatian Corps (often along with groups of angry civilian locals) shot Italian fascists, and suspected collaborationists and/or separatists. According to a mixed Slovene-Italian historical commission established in 1993, which investigated only on what happened in places included in present-day Italy and Slovenia, the killings seemed to proceed from endeavors to remove persons linked with fascism (regardless of their personal responsibility), and endeavors to carry out mass executions of real, potential or only alleged opponents of the Communist government. The 1944-1945 killings in Bačka were similar in nature and entailed the killing of suspected Hungarian, German and Serbian fascists, and their suspected affiliates, without regard to their personal responsibility. During this purge, a large number of civilians from the associated ethnic group were also killed.
Who were killed in the foibe massacres?
The "foibe massacres" draw their name from the "foibe" pits in which Croatian Partisans of the 8th Dalmatian Corps (often along with groups of angry civilian locals) shot Italian fascists, and suspected collaborationists and/or separatists.
The repatriations at Bleiburg (although scholars disagree on how many people died and no number has been officially recognized or agreed upon) of retreating columns of Chetnik and Slovene Home Guard troops, and soldiers of the Armed Forces of the Independent State of Croatia and thousands of civilians heading or retreating towards Austria to surrender to western Allied forces, have been called a "massacre". The "foibe massacres" draw their name from the "foibe" pits in which Croatian Partisans of the 8th Dalmatian Corps (often along with groups of angry civilian locals) shot Italian fascists, and suspected collaborationists and/or separatists. According to a mixed Slovene-Italian historical commission established in 1993, which investigated only on what happened in places included in present-day Italy and Slovenia, the killings seemed to proceed from endeavors to remove persons linked with fascism (regardless of their personal responsibility), and endeavors to carry out mass executions of real, potential or only alleged opponents of the Communist government. The 1944-1945 killings in Bačka were similar in nature and entailed the killing of suspected Hungarian, German and Serbian fascists, and their suspected affiliates, without regard to their personal responsibility. During this purge, a large number of civilians from the associated ethnic group were also killed.
The "foibe massacres" draw their name from the "foibe" pits in which Croatian Partisans of the 8th Dalmatian Corps (often along with groups of angry civilian locals) shot <hl> Italian fascists, and suspected collaborationists <hl> and/or separatists.
The repatriations at Bleiburg (although scholars disagree on how many people died and no number has been officially recognized or agreed upon) of retreating columns of Chetnik and Slovene Home Guard troops, and soldiers of the Armed Forces of the Independent State of Croatia and thousands of civilians heading or retreating towards Austria to surrender to western Allied forces, have been called a "massacre". The "foibe massacres" draw their name from the "foibe" pits in which Croatian Partisans of the 8th Dalmatian Corps (often along with groups of angry civilian locals) shot <hl> Italian fascists, and suspected collaborationists <hl> and/or separatists. According to a mixed Slovene-Italian historical commission established in 1993, which investigated only on what happened in places included in present-day Italy and Slovenia, the killings seemed to proceed from endeavors to remove persons linked with fascism (regardless of their personal responsibility), and endeavors to carry out mass executions of real, potential or only alleged opponents of the Communist government. The 1944-1945 killings in Bačka were similar in nature and entailed the killing of suspected Hungarian, German and Serbian fascists, and their suspected affiliates, without regard to their personal responsibility. During this purge, a large number of civilians from the associated ethnic group were also killed.
The repatriations at Bleiburg (although scholars disagree on how many people died and no number has been officially recognized or agreed upon) of retreating columns of Chetnik and Slovene Home Guard troops, and soldiers of the Armed Forces of the Independent State of Croatia and thousands of civilians heading or retreating towards Austria to surrender to western Allied forces, have been called a "massacre". <hl> The "foibe massacres" draw their name from the "foibe" pits in which Croatian Partisans of the 8th Dalmatian Corps (often along with groups of angry civilian locals) shot Italian fascists, and suspected collaborationists and/or separatists. <hl> According to a mixed Slovene-Italian historical commission established in 1993, which investigated only on what happened in places included in present-day Italy and Slovenia, the killings seemed to proceed from endeavors to remove persons linked with fascism (regardless of their personal responsibility), and endeavors to carry out mass executions of real, potential or only alleged opponents of the Communist government. The 1944-1945 killings in Bačka were similar in nature and entailed the killing of suspected Hungarian, German and Serbian fascists, and their suspected affiliates, without regard to their personal responsibility. During this purge, a large number of civilians from the associated ethnic group were also killed.
5d671fc22b22cd4dfcfbefec
Cosa Nostra
question: What is another term for the Mafia?, context: As Italian immigration grew in the early 20th century many joined ethnic gangs, including Al Capone, who got his start in crime with the Five Points Gang. The Mafia (also known as Cosa Nostra) first developed in the mid-19th century in Sicily and spread to the East Coast of the United States during the late 19th century following waves of Sicilian and Southern Italian emigration. Lucky Luciano established Cosa Nostra in Manhattan, forming alliances with other criminal enterprises, including the Jewish mob, led by Meyer Lansky, the leading Jewish gangster of that period. From 1920–1933, Prohibition helped create a thriving black market in liquor, upon which the Mafia was quick to capitalize.
What is another term for the Mafia?
The Mafia (also known as Cosa Nostra ) first developed in the mid-19th century in Sicily and spread to the East Coast of the United States during the late 19th century following waves of Sicilian and Southern Italian emigration.
As Italian immigration grew in the early 20th century many joined ethnic gangs, including Al Capone, who got his start in crime with the Five Points Gang. The Mafia (also known as Cosa Nostra) first developed in the mid-19th century in Sicily and spread to the East Coast of the United States during the late 19th century following waves of Sicilian and Southern Italian emigration. Lucky Luciano established Cosa Nostra in Manhattan, forming alliances with other criminal enterprises, including the Jewish mob, led by Meyer Lansky, the leading Jewish gangster of that period. From 1920–1933, Prohibition helped create a thriving black market in liquor, upon which the Mafia was quick to capitalize.
The Mafia (also known as <hl> Cosa Nostra <hl> ) first developed in the mid-19th century in Sicily and spread to the East Coast of the United States during the late 19th century following waves of Sicilian and Southern Italian emigration.
As Italian immigration grew in the early 20th century many joined ethnic gangs, including Al Capone, who got his start in crime with the Five Points Gang. The Mafia (also known as <hl> Cosa Nostra <hl>) first developed in the mid-19th century in Sicily and spread to the East Coast of the United States during the late 19th century following waves of Sicilian and Southern Italian emigration. Lucky Luciano established Cosa Nostra in Manhattan, forming alliances with other criminal enterprises, including the Jewish mob, led by Meyer Lansky, the leading Jewish gangster of that period. From 1920–1933, Prohibition helped create a thriving black market in liquor, upon which the Mafia was quick to capitalize.
As Italian immigration grew in the early 20th century many joined ethnic gangs, including Al Capone, who got his start in crime with the Five Points Gang. <hl> The Mafia (also known as Cosa Nostra ) first developed in the mid-19th century in Sicily and spread to the East Coast of the United States during the late 19th century following waves of Sicilian and Southern Italian emigration. <hl> Lucky Luciano established Cosa Nostra in Manhattan, forming alliances with other criminal enterprises, including the Jewish mob, led by Meyer Lansky, the leading Jewish gangster of that period. From 1920–1933, Prohibition helped create a thriving black market in liquor, upon which the Mafia was quick to capitalize.
5d673b542b22cd4dfcfbf34c
upsurge in medical tourism to Turkey
question: Does Turkey allow foreigners to be treated in that country?, context: In 2000, Istanbul had 137 hospitals, of which 100 were private. Turkish citizens are entitled to subsidized healthcare in the nation's state-run hospitals. As public hospitals tend to be overcrowded or otherwise slow, private hospitals are preferable for those who can afford them. Their prevalence has increased significantly over the last decade, as the percentage of outpatients using private hospitals increased from 6 percent to 23 percent between 2005 and 2009. Many of these private hospitals, as well as some of the public hospitals, are equipped with high-tech equipment, including MRI machines, or associated with medical research centers. Turkey has more hospitals accredited by the U.S.-based Joint Commission than any other country in the world, with most concentrated in its big cities. The high quality of healthcare, especially in private hospitals, has contributed to a recent upsurge in medical tourism to Turkey (with a 40 percent increase between 2007 and 2008). Laser eye surgery is particularly common among medical tourists, as Turkey is known for specializing in the procedure.
Does Turkey allow foreigners to be treated in that country?
The high quality of healthcare, especially in private hospitals, has contributed to a recent upsurge in medical tourism to Turkey (with a 40 percent increase between 2007 and 2008).
In 2000, Istanbul had 137 hospitals, of which 100 were private. Turkish citizens are entitled to subsidized healthcare in the nation's state-run hospitals. As public hospitals tend to be overcrowded or otherwise slow, private hospitals are preferable for those who can afford them. Their prevalence has increased significantly over the last decade, as the percentage of outpatients using private hospitals increased from 6 percent to 23 percent between 2005 and 2009. Many of these private hospitals, as well as some of the public hospitals, are equipped with high-tech equipment, including MRI machines, or associated with medical research centers. Turkey has more hospitals accredited by the U.S.-based Joint Commission than any other country in the world, with most concentrated in its big cities. The high quality of healthcare, especially in private hospitals, has contributed to a recent upsurge in medical tourism to Turkey (with a 40 percent increase between 2007 and 2008). Laser eye surgery is particularly common among medical tourists, as Turkey is known for specializing in the procedure.
The high quality of healthcare, especially in private hospitals, has contributed to a recent <hl> upsurge in medical tourism to Turkey <hl> (with a 40 percent increase between 2007 and 2008).
In 2000, Istanbul had 137 hospitals, of which 100 were private. Turkish citizens are entitled to subsidized healthcare in the nation's state-run hospitals. As public hospitals tend to be overcrowded or otherwise slow, private hospitals are preferable for those who can afford them. Their prevalence has increased significantly over the last decade, as the percentage of outpatients using private hospitals increased from 6 percent to 23 percent between 2005 and 2009. Many of these private hospitals, as well as some of the public hospitals, are equipped with high-tech equipment, including MRI machines, or associated with medical research centers. Turkey has more hospitals accredited by the U.S.-based Joint Commission than any other country in the world, with most concentrated in its big cities. The high quality of healthcare, especially in private hospitals, has contributed to a recent <hl> upsurge in medical tourism to Turkey <hl> (with a 40 percent increase between 2007 and 2008). Laser eye surgery is particularly common among medical tourists, as Turkey is known for specializing in the procedure.
In 2000, Istanbul had 137 hospitals, of which 100 were private. Turkish citizens are entitled to subsidized healthcare in the nation's state-run hospitals. As public hospitals tend to be overcrowded or otherwise slow, private hospitals are preferable for those who can afford them. Their prevalence has increased significantly over the last decade, as the percentage of outpatients using private hospitals increased from 6 percent to 23 percent between 2005 and 2009. Many of these private hospitals, as well as some of the public hospitals, are equipped with high-tech equipment, including MRI machines, or associated with medical research centers. Turkey has more hospitals accredited by the U.S.-based Joint Commission than any other country in the world, with most concentrated in its big cities. <hl> The high quality of healthcare, especially in private hospitals, has contributed to a recent upsurge in medical tourism to Turkey (with a 40 percent increase between 2007 and 2008). <hl> Laser eye surgery is particularly common among medical tourists, as Turkey is known for specializing in the procedure.
5d65fcc72b22cd4dfcfbd4e0
King Tubby, Peter Tosh, Sly & Robbie, Bill Laswell, Lee Perry, Mad Professor, Roots Radics, Bob Marley and Buju Banton
question: What are some of the pioneers of Jamaican dub and Reggae sound?, context: The Amen Break was the main starting influence for Drum and Bass. Jungle threw in more whistles and bells and MC's. Jungle has a distinct African flow which is dirty. Drum and Bass for mainstream UK was clean and formal. A very obvious and strong influence on jungle and drum and bass, thanks to the British African-Caribbean sound system scene, is the original Jamaican dub and reggae sound, with pioneers like King Tubby, Peter Tosh, Sly & Robbie, Bill Laswell, Lee Perry, Mad Professor, Roots Radics, Bob Marley and Buju Banton heavily influencing the music. This influence has lessened with time but is still evident with many tracks containing ragga vocals.
What are some of the pioneers of Jamaican dub and Reggae sound?
A very obvious and strong influence on jungle and drum and bass, thanks to the British African-Caribbean sound system scene, is the original Jamaican dub and reggae sound, with pioneers like King Tubby, Peter Tosh, Sly & Robbie, Bill Laswell, Lee Perry, Mad Professor, Roots Radics, Bob Marley and Buju Banton heavily influencing the music.
The Amen Break was the main starting influence for Drum and Bass. Jungle threw in more whistles and bells and MC's. Jungle has a distinct African flow which is dirty. Drum and Bass for mainstream UK was clean and formal. A very obvious and strong influence on jungle and drum and bass, thanks to the British African-Caribbean sound system scene, is the original Jamaican dub and reggae sound, with pioneers like King Tubby, Peter Tosh, Sly & Robbie, Bill Laswell, Lee Perry, Mad Professor, Roots Radics, Bob Marley and Buju Banton heavily influencing the music. This influence has lessened with time but is still evident with many tracks containing ragga vocals.
A very obvious and strong influence on jungle and drum and bass, thanks to the British African-Caribbean sound system scene, is the original Jamaican dub and reggae sound, with pioneers like <hl> King Tubby, Peter Tosh, Sly & Robbie, Bill Laswell, Lee Perry, Mad Professor, Roots Radics, Bob Marley and Buju Banton <hl> heavily influencing the music.
The Amen Break was the main starting influence for Drum and Bass. Jungle threw in more whistles and bells and MC's. Jungle has a distinct African flow which is dirty. Drum and Bass for mainstream UK was clean and formal. A very obvious and strong influence on jungle and drum and bass, thanks to the British African-Caribbean sound system scene, is the original Jamaican dub and reggae sound, with pioneers like <hl> King Tubby, Peter Tosh, Sly & Robbie, Bill Laswell, Lee Perry, Mad Professor, Roots Radics, Bob Marley and Buju Banton <hl> heavily influencing the music. This influence has lessened with time but is still evident with many tracks containing ragga vocals.
The Amen Break was the main starting influence for Drum and Bass. Jungle threw in more whistles and bells and MC's. Jungle has a distinct African flow which is dirty. Drum and Bass for mainstream UK was clean and formal. <hl> A very obvious and strong influence on jungle and drum and bass, thanks to the British African-Caribbean sound system scene, is the original Jamaican dub and reggae sound, with pioneers like King Tubby, Peter Tosh, Sly & Robbie, Bill Laswell, Lee Perry, Mad Professor, Roots Radics, Bob Marley and Buju Banton heavily influencing the music. <hl> This influence has lessened with time but is still evident with many tracks containing ragga vocals.
5d65daa62b22cd4dfcfbcf31
patronage
question: What pattern of politics might grow out of control?, context: Other challenges, and even dangers, include the possibility that corrupt local elites can capture regional or local power centers, while constituents lose representation; patronage politics will become rampant and civil servants feel compromised; further necessary decentralization can be stymied; incomplete information and hidden decision-making can occur up and down the hierarchies; centralized power centers can find reasons to frustrate decentralization and bring power back to themselves.[citation needed]
What pattern of politics might grow out of control?
Other challenges, and even dangers, include the possibility that corrupt local elites can capture regional or local power centers, while constituents lose representation; patronage politics will become rampant and civil servants feel compromised; further necessary decentralization can be stymied; incomplete information and hidden decision-making can occur up and down the hierarchies; centralized power centers can find reasons to frustrate decentralization and bring power back to themselves.[citation needed]
Other challenges, and even dangers, include the possibility that corrupt local elites can capture regional or local power centers, while constituents lose representation; patronage politics will become rampant and civil servants feel compromised; further necessary decentralization can be stymied; incomplete information and hidden decision-making can occur up and down the hierarchies; centralized power centers can find reasons to frustrate decentralization and bring power back to themselves.[citation needed]
Other challenges, and even dangers, include the possibility that corrupt local elites can capture regional or local power centers, while constituents lose representation; <hl> patronage <hl> politics will become rampant and civil servants feel compromised; further necessary decentralization can be stymied; incomplete information and hidden decision-making can occur up and down the hierarchies; centralized power centers can find reasons to frustrate decentralization and bring power back to themselves.[citation needed]
Other challenges, and even dangers, include the possibility that corrupt local elites can capture regional or local power centers, while constituents lose representation; <hl> patronage <hl> politics will become rampant and civil servants feel compromised; further necessary decentralization can be stymied; incomplete information and hidden decision-making can occur up and down the hierarchies; centralized power centers can find reasons to frustrate decentralization and bring power back to themselves.[citation needed]
<hl> Other challenges, and even dangers, include the possibility that corrupt local elites can capture regional or local power centers, while constituents lose representation; patronage politics will become rampant and civil servants feel compromised; further necessary decentralization can be stymied; incomplete information and hidden decision-making can occur up and down the hierarchies; centralized power centers can find reasons to frustrate decentralization and bring power back to themselves.[citation needed] <hl>
5d65e12d2b22cd4dfcfbd0a7
Sassanids
question: Who were the Arsacid-Armenian rulers defying?, context: According to and, Armenian Christians were persecuted by kings Axidares, Khosrov I, and Tiridates III, the last of whom was converted to Christianity by Gregory the Illuminator. Ancient Armenia's adoption of Christianity as a state religion (the first state to do so) has been referred to Nina Garsoïan as "probably the most crucial step in its history." This conversion distinguished it from its Iranian and Mazdean roots and protected it from further Parthian influence. Other scholars as well have stated that the acceptance of Christianity by the Arsacid-Armenian rulers was partly, in defiance of the Sassanids.
Who were the Arsacid-Armenian rulers defying?
Other scholars as well have stated that the acceptance of Christianity by the Arsacid-Armenian rulers was partly, in defiance of the Sassanids .
According to and, Armenian Christians were persecuted by kings Axidares, Khosrov I, and Tiridates III, the last of whom was converted to Christianity by Gregory the Illuminator. Ancient Armenia's adoption of Christianity as a state religion (the first state to do so) has been referred to Nina Garsoïan as "probably the most crucial step in its history." This conversion distinguished it from its Iranian and Mazdean roots and protected it from further Parthian influence. Other scholars as well have stated that the acceptance of Christianity by the Arsacid-Armenian rulers was partly, in defiance of the Sassanids.
Other scholars as well have stated that the acceptance of Christianity by the Arsacid-Armenian rulers was partly, in defiance of the <hl> Sassanids <hl> .
According to and, Armenian Christians were persecuted by kings Axidares, Khosrov I, and Tiridates III, the last of whom was converted to Christianity by Gregory the Illuminator. Ancient Armenia's adoption of Christianity as a state religion (the first state to do so) has been referred to Nina Garsoïan as "probably the most crucial step in its history." This conversion distinguished it from its Iranian and Mazdean roots and protected it from further Parthian influence. Other scholars as well have stated that the acceptance of Christianity by the Arsacid-Armenian rulers was partly, in defiance of the <hl> Sassanids <hl>.
According to and, Armenian Christians were persecuted by kings Axidares, Khosrov I, and Tiridates III, the last of whom was converted to Christianity by Gregory the Illuminator. Ancient Armenia's adoption of Christianity as a state religion (the first state to do so) has been referred to Nina Garsoïan as "probably the most crucial step in its history." This conversion distinguished it from its Iranian and Mazdean roots and protected it from further Parthian influence. <hl> Other scholars as well have stated that the acceptance of Christianity by the Arsacid-Armenian rulers was partly, in defiance of the Sassanids . <hl>
5d65879e2b22cd4dfcfbca12
48% and 116%
question: How much are rainfall rates affected in areas downwind of cities?, context: The urban heat island warms cities 0.6 to 5.6 °C (1.1 to 10.1 °F) above surrounding suburbs and rural areas. This extra heat leads to greater upward motion, which can induce additional shower and thunderstorm activity. Rainfall rates downwind of cities are increased between 48% and 116%. Partly as a result of this warming, monthly rainfall is about 28% greater between 32 to 64 kilometres (20 to 40 mi) downwind of cities, compared with upwind. Some cities induce a total precipitation increase of 51%.
How much are rainfall rates affected in areas downwind of cities?
Rainfall rates downwind of cities are increased between 48% and 116% .
The urban heat island warms cities 0.6 to 5.6 °C (1.1 to 10.1 °F) above surrounding suburbs and rural areas. This extra heat leads to greater upward motion, which can induce additional shower and thunderstorm activity. Rainfall rates downwind of cities are increased between 48% and 116%. Partly as a result of this warming, monthly rainfall is about 28% greater between 32 to 64 kilometres (20 to 40 mi) downwind of cities, compared with upwind. Some cities induce a total precipitation increase of 51%.
Rainfall rates downwind of cities are increased between <hl> 48% and 116% <hl> .
The urban heat island warms cities 0.6 to 5.6 °C (1.1 to 10.1 °F) above surrounding suburbs and rural areas. This extra heat leads to greater upward motion, which can induce additional shower and thunderstorm activity. Rainfall rates downwind of cities are increased between <hl> 48% and 116% <hl>. Partly as a result of this warming, monthly rainfall is about 28% greater between 32 to 64 kilometres (20 to 40 mi) downwind of cities, compared with upwind. Some cities induce a total precipitation increase of 51%.
The urban heat island warms cities 0.6 to 5.6 °C (1.1 to 10.1 °F) above surrounding suburbs and rural areas. This extra heat leads to greater upward motion, which can induce additional shower and thunderstorm activity. <hl> Rainfall rates downwind of cities are increased between 48% and 116% . <hl> Partly as a result of this warming, monthly rainfall is about 28% greater between 32 to 64 kilometres (20 to 40 mi) downwind of cities, compared with upwind. Some cities induce a total precipitation increase of 51%.
5d671bb92b22cd4dfcfbef7a
2–4 years
question: How many years of local training is required to get certified MD degree Board specialist?, context: In Sri Lanka, MBBS degree is the degree to be held for one to be licensed as a physicians by the Sri Lanka Medical Council. MD degree is a higher postgraduate degree and in Sri Lanka awarded by the Postgraduate Institute of Medicine after completion of a postgraduate course and examinations. The MD degree in Sri Lanka is representative of specialty training in clinical, para clinical and preventive medicine (e.g., General Medicine, Cardiology, Nephrology, Oncology, para clinical such as microbiology, haematology and preventive such as Community Medicne .). Entry for the MD course open only for medical graduates holding the MBBS degree (with a duration of five and a half years), and training is obtained in medical disciplines that are non-surgical in nature (e.g., Internal Medicine, Radiology, Pathology, etc.). After three or four years of study and the successful completion of an examination with written as well as cases and viva examinations, the MD degree in the respective field of Study is awarded. In Community medicine and Medical Administration, part I examination consists of a theoretical exam while the degree is cofered after completion of a thesis as n PhD. This thesis has to be completed within a period of five years. After successfully defending the academic thesis, MD degree is conferred to the candidate, The MD degree holder is certified as a Board certified specialist by the respective board of study of the Postgraduate Institute of Medicine after he/she undergoes 2–4 years of local and foreign training depending on the specialty/subspecialty selected.
How many years of local training is required to get certified MD degree Board specialist?
After successfully defending the academic thesis, MD degree is conferred to the candidate, The MD degree holder is certified as a Board certified specialist by the respective board of study of the Postgraduate Institute of Medicine after he/she undergoes 2–4 years of local and foreign training depending on the specialty/subspecialty selected.
In Sri Lanka, MBBS degree is the degree to be held for one to be licensed as a physicians by the Sri Lanka Medical Council. MD degree is a higher postgraduate degree and in Sri Lanka awarded by the Postgraduate Institute of Medicine after completion of a postgraduate course and examinations. The MD degree in Sri Lanka is representative of specialty training in clinical, para clinical and preventive medicine (e.g., General Medicine, Cardiology, Nephrology, Oncology, para clinical such as microbiology, haematology and preventive such as Community Medicne .). Entry for the MD course open only for medical graduates holding the MBBS degree (with a duration of five and a half years), and training is obtained in medical disciplines that are non-surgical in nature (e.g., Internal Medicine, Radiology, Pathology, etc.). After three or four years of study and the successful completion of an examination with written as well as cases and viva examinations, the MD degree in the respective field of Study is awarded. In Community medicine and Medical Administration, part I examination consists of a theoretical exam while the degree is cofered after completion of a thesis as n PhD. This thesis has to be completed within a period of five years. After successfully defending the academic thesis, MD degree is conferred to the candidate, The MD degree holder is certified as a Board certified specialist by the respective board of study of the Postgraduate Institute of Medicine after he/she undergoes 2–4 years of local and foreign training depending on the specialty/subspecialty selected.
After successfully defending the academic thesis, MD degree is conferred to the candidate, The MD degree holder is certified as a Board certified specialist by the respective board of study of the Postgraduate Institute of Medicine after he/she undergoes <hl> 2–4 years <hl> of local and foreign training depending on the specialty/subspecialty selected.
In Sri Lanka, MBBS degree is the degree to be held for one to be licensed as a physicians by the Sri Lanka Medical Council. MD degree is a higher postgraduate degree and in Sri Lanka awarded by the Postgraduate Institute of Medicine after completion of a postgraduate course and examinations. The MD degree in Sri Lanka is representative of specialty training in clinical, para clinical and preventive medicine (e.g., General Medicine, Cardiology, Nephrology, Oncology, para clinical such as microbiology, haematology and preventive such as Community Medicne .). Entry for the MD course open only for medical graduates holding the MBBS degree (with a duration of five and a half years), and training is obtained in medical disciplines that are non-surgical in nature (e.g., Internal Medicine, Radiology, Pathology, etc.). After three or four years of study and the successful completion of an examination with written as well as cases and viva examinations, the MD degree in the respective field of Study is awarded. In Community medicine and Medical Administration, part I examination consists of a theoretical exam while the degree is cofered after completion of a thesis as n PhD. This thesis has to be completed within a period of five years. After successfully defending the academic thesis, MD degree is conferred to the candidate, The MD degree holder is certified as a Board certified specialist by the respective board of study of the Postgraduate Institute of Medicine after he/she undergoes <hl> 2–4 years <hl> of local and foreign training depending on the specialty/subspecialty selected.
In Sri Lanka, MBBS degree is the degree to be held for one to be licensed as a physicians by the Sri Lanka Medical Council. MD degree is a higher postgraduate degree and in Sri Lanka awarded by the Postgraduate Institute of Medicine after completion of a postgraduate course and examinations. The MD degree in Sri Lanka is representative of specialty training in clinical, para clinical and preventive medicine (e.g., General Medicine, Cardiology, Nephrology, Oncology, para clinical such as microbiology, haematology and preventive such as Community Medicne .). Entry for the MD course open only for medical graduates holding the MBBS degree (with a duration of five and a half years), and training is obtained in medical disciplines that are non-surgical in nature (e.g., Internal Medicine, Radiology, Pathology, etc.). After three or four years of study and the successful completion of an examination with written as well as cases and viva examinations, the MD degree in the respective field of Study is awarded. In Community medicine and Medical Administration, part I examination consists of a theoretical exam while the degree is cofered after completion of a thesis as n PhD. This thesis has to be completed within a period of five years. <hl> After successfully defending the academic thesis, MD degree is conferred to the candidate, The MD degree holder is certified as a Board certified specialist by the respective board of study of the Postgraduate Institute of Medicine after he/she undergoes 2–4 years of local and foreign training depending on the specialty/subspecialty selected. <hl>
5d664d4c2b22cd4dfcfbdc10
make half-step shifts
question: The Leblanc Rationale and System allowed players to do what with scales?, context: The Leblanc Rationale and System saxophones had key mechanics designed to remedy the acoustic problems associated with closed keys below the first open tonehole. They also enabled the player to make half-step shifts of scales by depressing one key while keeping the rest of the fingering consistent with that of the fingering a half step away (which could also trip up players used to certain alternate fingerings on a regular saxophone). Some Leblanc System features were built into the Vito Model 35 saxophones of the 1950s and 1960s. The acceptance of what was arguably a superior system was impaired by the adjustment required of players switching between System and non-System horns, and the added costs associated with the added complexity of certain key mechanisms.
The Leblanc Rationale and System allowed players to do what with scales?
They also enabled the player to make half-step shifts of scales by depressing one key while keeping the rest of the fingering consistent with that of the fingering a half step away (which could also trip up players used to certain alternate fingerings on a regular saxophone).
The Leblanc Rationale and System saxophones had key mechanics designed to remedy the acoustic problems associated with closed keys below the first open tonehole. They also enabled the player to make half-step shifts of scales by depressing one key while keeping the rest of the fingering consistent with that of the fingering a half step away (which could also trip up players used to certain alternate fingerings on a regular saxophone). Some Leblanc System features were built into the Vito Model 35 saxophones of the 1950s and 1960s. The acceptance of what was arguably a superior system was impaired by the adjustment required of players switching between System and non-System horns, and the added costs associated with the added complexity of certain key mechanisms.
They also enabled the player to <hl> make half-step shifts <hl> of scales by depressing one key while keeping the rest of the fingering consistent with that of the fingering a half step away (which could also trip up players used to certain alternate fingerings on a regular saxophone).
The Leblanc Rationale and System saxophones had key mechanics designed to remedy the acoustic problems associated with closed keys below the first open tonehole. They also enabled the player to <hl> make half-step shifts <hl> of scales by depressing one key while keeping the rest of the fingering consistent with that of the fingering a half step away (which could also trip up players used to certain alternate fingerings on a regular saxophone). Some Leblanc System features were built into the Vito Model 35 saxophones of the 1950s and 1960s. The acceptance of what was arguably a superior system was impaired by the adjustment required of players switching between System and non-System horns, and the added costs associated with the added complexity of certain key mechanisms.
The Leblanc Rationale and System saxophones had key mechanics designed to remedy the acoustic problems associated with closed keys below the first open tonehole. <hl> They also enabled the player to make half-step shifts of scales by depressing one key while keeping the rest of the fingering consistent with that of the fingering a half step away (which could also trip up players used to certain alternate fingerings on a regular saxophone). <hl> Some Leblanc System features were built into the Vito Model 35 saxophones of the 1950s and 1960s. The acceptance of what was arguably a superior system was impaired by the adjustment required of players switching between System and non-System horns, and the added costs associated with the added complexity of certain key mechanisms.
5d675ffd2b22cd4dfcfbf91f
Kuki National Organisation
question: What KNO stands for?, context: The Kuki insurgent groups want a separate state for the Kukis to be carved out from the present state of Manipur. The Kuki insurgent groups are under two umbrella organisations: Kuki National Organisation (KNO) and United Peoples Forum. The Nagas wish to annex part of Manipur and merge with a greater Nagaland or Nagalim, which is in conflict with Meetei insurgent demands for the integrity of their vision of an independent state. There were many tensions between the tribes and numerous clashes between Naga and Kukis, Meeteis and Muslims.
What KNO stands for?
The Kuki insurgent groups are under two umbrella organisations: Kuki National Organisation (KNO) and United Peoples Forum.
The Kuki insurgent groups want a separate state for the Kukis to be carved out from the present state of Manipur. The Kuki insurgent groups are under two umbrella organisations: Kuki National Organisation (KNO) and United Peoples Forum. The Nagas wish to annex part of Manipur and merge with a greater Nagaland or Nagalim, which is in conflict with Meetei insurgent demands for the integrity of their vision of an independent state. There were many tensions between the tribes and numerous clashes between Naga and Kukis, Meeteis and Muslims.
The Kuki insurgent groups are under two umbrella organisations: <hl> Kuki National Organisation <hl> (KNO) and United Peoples Forum.
The Kuki insurgent groups want a separate state for the Kukis to be carved out from the present state of Manipur. The Kuki insurgent groups are under two umbrella organisations: <hl> Kuki National Organisation <hl> (KNO) and United Peoples Forum. The Nagas wish to annex part of Manipur and merge with a greater Nagaland or Nagalim, which is in conflict with Meetei insurgent demands for the integrity of their vision of an independent state. There were many tensions between the tribes and numerous clashes between Naga and Kukis, Meeteis and Muslims.
The Kuki insurgent groups want a separate state for the Kukis to be carved out from the present state of Manipur. <hl> The Kuki insurgent groups are under two umbrella organisations: Kuki National Organisation (KNO) and United Peoples Forum. <hl> The Nagas wish to annex part of Manipur and merge with a greater Nagaland or Nagalim, which is in conflict with Meetei insurgent demands for the integrity of their vision of an independent state. There were many tensions between the tribes and numerous clashes between Naga and Kukis, Meeteis and Muslims.
5d675f902b22cd4dfcfbf902
insurance
question: What is taken away from the one insured?, context: In recent years the operational definition of insurance presented at the beginning of this article proved inadequate as a result of contracts that had the form but not the substance of insurance. The essence of insurance is the transfer of risk from the insured to one or more insurers. How much risk a contract actually transfers proved to be at the heart of the controversy. This issue arose most clearly in reinsurance, where the use of Financial Reinsurance to reengineer insurer balance sheets under US GAAP became fashionable during the 1980s. The accounting profession raised serious concerns about the use of reinsurance in which little if any actual risk was transferred, and went on to address the issue in FAS 113, cited above. While on its face, FAS 113 is limited to accounting for reinsurance transactions, the guidance it contains is generally conceded to be equally applicable to US GAAP accounting for insurance transactions executed by commercial enterprises.
What is taken away from the one insured?
In recent years the operational definition of insurance presented at the beginning of this article proved inadequate as a result of contracts that had the form but not the substance of insurance.
In recent years the operational definition of insurance presented at the beginning of this article proved inadequate as a result of contracts that had the form but not the substance of insurance. The essence of insurance is the transfer of risk from the insured to one or more insurers. How much risk a contract actually transfers proved to be at the heart of the controversy. This issue arose most clearly in reinsurance, where the use of Financial Reinsurance to reengineer insurer balance sheets under US GAAP became fashionable during the 1980s. The accounting profession raised serious concerns about the use of reinsurance in which little if any actual risk was transferred, and went on to address the issue in FAS 113, cited above. While on its face, FAS 113 is limited to accounting for reinsurance transactions, the guidance it contains is generally conceded to be equally applicable to US GAAP accounting for insurance transactions executed by commercial enterprises.
In recent years the operational definition of <hl> insurance <hl> presented at the beginning of this article proved inadequate as a result of contracts that had the form but not the substance of insurance.
In recent years the operational definition of <hl> insurance <hl> presented at the beginning of this article proved inadequate as a result of contracts that had the form but not the substance of insurance. The essence of insurance is the transfer of risk from the insured to one or more insurers. How much risk a contract actually transfers proved to be at the heart of the controversy. This issue arose most clearly in reinsurance, where the use of Financial Reinsurance to reengineer insurer balance sheets under US GAAP became fashionable during the 1980s. The accounting profession raised serious concerns about the use of reinsurance in which little if any actual risk was transferred, and went on to address the issue in FAS 113, cited above. While on its face, FAS 113 is limited to accounting for reinsurance transactions, the guidance it contains is generally conceded to be equally applicable to US GAAP accounting for insurance transactions executed by commercial enterprises.
<hl> In recent years the operational definition of insurance presented at the beginning of this article proved inadequate as a result of contracts that had the form but not the substance of insurance. <hl> The essence of insurance is the transfer of risk from the insured to one or more insurers. How much risk a contract actually transfers proved to be at the heart of the controversy. This issue arose most clearly in reinsurance, where the use of Financial Reinsurance to reengineer insurer balance sheets under US GAAP became fashionable during the 1980s. The accounting profession raised serious concerns about the use of reinsurance in which little if any actual risk was transferred, and went on to address the issue in FAS 113, cited above. While on its face, FAS 113 is limited to accounting for reinsurance transactions, the guidance it contains is generally conceded to be equally applicable to US GAAP accounting for insurance transactions executed by commercial enterprises.
5d65c6c92b22cd4dfcfbccba
January 2013
question: When did Martin Ivens become acting editor of The Sunday Times?, context: During January 2013, Martin Ivens became acting editor of The Sunday Times in succession to John Witherow, who became the 'acting' editor of The Times at the same time. The independent directors rejected a permanent position for Ivens as editor because of the possible merger of the two Times titles.
When did Martin Ivens become acting editor of The Sunday Times?
During January 2013 , Martin Ivens became acting editor of The Sunday Times in succession to John Witherow, who became the 'acting' editor of The Times at the same time.
During January 2013, Martin Ivens became acting editor of The Sunday Times in succession to John Witherow, who became the 'acting' editor of The Times at the same time. The independent directors rejected a permanent position for Ivens as editor because of the possible merger of the two Times titles.
During <hl> January 2013 <hl> , Martin Ivens became acting editor of The Sunday Times in succession to John Witherow, who became the 'acting' editor of The Times at the same time.
During <hl> January 2013 <hl>, Martin Ivens became acting editor of The Sunday Times in succession to John Witherow, who became the 'acting' editor of The Times at the same time. The independent directors rejected a permanent position for Ivens as editor because of the possible merger of the two Times titles.
<hl> During January 2013 , Martin Ivens became acting editor of The Sunday Times in succession to John Witherow, who became the 'acting' editor of The Times at the same time. <hl> The independent directors rejected a permanent position for Ivens as editor because of the possible merger of the two Times titles.
5d6732c72b22cd4dfcfbf252
higher altitudes
question: Where do colder clouds typically occur?, context: Satellite sensors now in practical use for precipitation fall into two categories. Thermal infrared (IR) sensors record a channel around 11 micron wavelength and primarily give information about cloud tops. Due to the typical structure of the atmosphere, cloud-top temperatures are approximately inversely related to cloud-top heights, meaning colder clouds almost always occur at higher altitudes. Further, cloud tops with a lot of small-scale variation are likely to be more vigorous than smooth-topped clouds. Various mathematical schemes, or algorithms, use these and other properties to estimate precipitation from the IR data.
Where do colder clouds typically occur?
Due to the typical structure of the atmosphere, cloud-top temperatures are approximately inversely related to cloud-top heights, meaning colder clouds almost always occur at higher altitudes .
Satellite sensors now in practical use for precipitation fall into two categories. Thermal infrared (IR) sensors record a channel around 11 micron wavelength and primarily give information about cloud tops. Due to the typical structure of the atmosphere, cloud-top temperatures are approximately inversely related to cloud-top heights, meaning colder clouds almost always occur at higher altitudes. Further, cloud tops with a lot of small-scale variation are likely to be more vigorous than smooth-topped clouds. Various mathematical schemes, or algorithms, use these and other properties to estimate precipitation from the IR data.
Due to the typical structure of the atmosphere, cloud-top temperatures are approximately inversely related to cloud-top heights, meaning colder clouds almost always occur at <hl> higher altitudes <hl> .
Satellite sensors now in practical use for precipitation fall into two categories. Thermal infrared (IR) sensors record a channel around 11 micron wavelength and primarily give information about cloud tops. Due to the typical structure of the atmosphere, cloud-top temperatures are approximately inversely related to cloud-top heights, meaning colder clouds almost always occur at <hl> higher altitudes <hl>. Further, cloud tops with a lot of small-scale variation are likely to be more vigorous than smooth-topped clouds. Various mathematical schemes, or algorithms, use these and other properties to estimate precipitation from the IR data.
Satellite sensors now in practical use for precipitation fall into two categories. Thermal infrared (IR) sensors record a channel around 11 micron wavelength and primarily give information about cloud tops. <hl> Due to the typical structure of the atmosphere, cloud-top temperatures are approximately inversely related to cloud-top heights, meaning colder clouds almost always occur at higher altitudes . <hl> Further, cloud tops with a lot of small-scale variation are likely to be more vigorous than smooth-topped clouds. Various mathematical schemes, or algorithms, use these and other properties to estimate precipitation from the IR data.
5d6754982b22cd4dfcfbf733
1942
question: what year did partisans gain an effective air force?, context: The Partisans gained an effective air force in May 1942, when the pilots of two aircraft belonging to the Air Force of the Independent State of Croatia (French-designed and Yugoslav-built Potez 25, and Breguet 19 biplanes, themselves formerly of the Royal Yugoslav Air Force), Franjo Kluz and Rudi Čajavec, defected to the Partisans in Bosnia. Later, these pilots used their aircraft against Axis forces in limited operations. Although short-lived due to a lack of infrastructure, this was the first instance of a resistance movement having its own air force. Later, the air force would be re-established and destroyed several times until its permanent institution. The Partisans later established a permanent air force by obtaining aircraft, equipment, and training from captured Axis aircraft, the British Royal Air Force (see BAF), and later the Soviet Air Force.[citation needed]
what year did partisans gain an effective air force?
The Partisans gained an effective air force in May 1942 , when the pilots of two aircraft belonging to the Air Force of the Independent State of Croatia (French-designed and Yugoslav-built Potez 25, and Breguet 19 biplanes, themselves formerly of the Royal Yugoslav Air Force), Franjo Kluz and Rudi Čajavec, defected to the Partisans in Bosnia.
The Partisans gained an effective air force in May 1942, when the pilots of two aircraft belonging to the Air Force of the Independent State of Croatia (French-designed and Yugoslav-built Potez 25, and Breguet 19 biplanes, themselves formerly of the Royal Yugoslav Air Force), Franjo Kluz and Rudi Čajavec, defected to the Partisans in Bosnia. Later, these pilots used their aircraft against Axis forces in limited operations. Although short-lived due to a lack of infrastructure, this was the first instance of a resistance movement having its own air force. Later, the air force would be re-established and destroyed several times until its permanent institution. The Partisans later established a permanent air force by obtaining aircraft, equipment, and training from captured Axis aircraft, the British Royal Air Force (see BAF), and later the Soviet Air Force.[citation needed]
The Partisans gained an effective air force in May <hl> 1942 <hl> , when the pilots of two aircraft belonging to the Air Force of the Independent State of Croatia (French-designed and Yugoslav-built Potez 25, and Breguet 19 biplanes, themselves formerly of the Royal Yugoslav Air Force), Franjo Kluz and Rudi Čajavec, defected to the Partisans in Bosnia.
The Partisans gained an effective air force in May <hl> 1942 <hl>, when the pilots of two aircraft belonging to the Air Force of the Independent State of Croatia (French-designed and Yugoslav-built Potez 25, and Breguet 19 biplanes, themselves formerly of the Royal Yugoslav Air Force), Franjo Kluz and Rudi Čajavec, defected to the Partisans in Bosnia. Later, these pilots used their aircraft against Axis forces in limited operations. Although short-lived due to a lack of infrastructure, this was the first instance of a resistance movement having its own air force. Later, the air force would be re-established and destroyed several times until its permanent institution. The Partisans later established a permanent air force by obtaining aircraft, equipment, and training from captured Axis aircraft, the British Royal Air Force (see BAF), and later the Soviet Air Force.[citation needed]
<hl> The Partisans gained an effective air force in May 1942 , when the pilots of two aircraft belonging to the Air Force of the Independent State of Croatia (French-designed and Yugoslav-built Potez 25, and Breguet 19 biplanes, themselves formerly of the Royal Yugoslav Air Force), Franjo Kluz and Rudi Čajavec, defected to the Partisans in Bosnia. <hl> Later, these pilots used their aircraft against Axis forces in limited operations. Although short-lived due to a lack of infrastructure, this was the first instance of a resistance movement having its own air force. Later, the air force would be re-established and destroyed several times until its permanent institution. The Partisans later established a permanent air force by obtaining aircraft, equipment, and training from captured Axis aircraft, the British Royal Air Force (see BAF), and later the Soviet Air Force.[citation needed]
5d680e202b22cd4dfcfc053e
Pratt & Whitney
question: What company produced aircraft engines in Connectitcut during WWII?, context: The advent of Lend-Lease in support of Britain helped lift Connecticut from the Great Depression, with the state a major production center for weaponry and supplies used in World War II. Connecticut manufactured 4.1 percent of total U.S. military armaments produced during World War II, ranking ninth among the 48 states, with major factories including Colt for firearms, Pratt & Whitney for aircraft engines, Chance Vought for fighter planes, Hamilton Standard for propellers, and Electric Boat for submarines and PT boats. In Bridgeport, General Electric would produce a significant new weapon to counter opposing tanks: the bazooka.
What company produced aircraft engines in Connectitcut during WWII?
Connecticut manufactured 4.1 percent of total U.S. military armaments produced during World War II, ranking ninth among the 48 states, with major factories including Colt for firearms, Pratt & Whitney for aircraft engines, Chance Vought for fighter planes, Hamilton Standard for propellers, and Electric Boat for submarines and PT boats.
The advent of Lend-Lease in support of Britain helped lift Connecticut from the Great Depression, with the state a major production center for weaponry and supplies used in World War II. Connecticut manufactured 4.1 percent of total U.S. military armaments produced during World War II, ranking ninth among the 48 states, with major factories including Colt for firearms, Pratt & Whitney for aircraft engines, Chance Vought for fighter planes, Hamilton Standard for propellers, and Electric Boat for submarines and PT boats. In Bridgeport, General Electric would produce a significant new weapon to counter opposing tanks: the bazooka.
Connecticut manufactured 4.1 percent of total U.S. military armaments produced during World War II, ranking ninth among the 48 states, with major factories including Colt for firearms, <hl> Pratt & Whitney <hl> for aircraft engines, Chance Vought for fighter planes, Hamilton Standard for propellers, and Electric Boat for submarines and PT boats.
The advent of Lend-Lease in support of Britain helped lift Connecticut from the Great Depression, with the state a major production center for weaponry and supplies used in World War II. Connecticut manufactured 4.1 percent of total U.S. military armaments produced during World War II, ranking ninth among the 48 states, with major factories including Colt for firearms, <hl> Pratt & Whitney <hl> for aircraft engines, Chance Vought for fighter planes, Hamilton Standard for propellers, and Electric Boat for submarines and PT boats. In Bridgeport, General Electric would produce a significant new weapon to counter opposing tanks: the bazooka.
The advent of Lend-Lease in support of Britain helped lift Connecticut from the Great Depression, with the state a major production center for weaponry and supplies used in World War II. <hl> Connecticut manufactured 4.1 percent of total U.S. military armaments produced during World War II, ranking ninth among the 48 states, with major factories including Colt for firearms, Pratt & Whitney for aircraft engines, Chance Vought for fighter planes, Hamilton Standard for propellers, and Electric Boat for submarines and PT boats. <hl> In Bridgeport, General Electric would produce a significant new weapon to counter opposing tanks: the bazooka.
5d6619832b22cd4dfcfbd8b0
polymeric
question: What type of compound is tetraflouride?, context: Halide compounds are known for both oxidation states. For Sn(IV), all four halides are well known: SnF4, SnCl4, SnBr4, and SnI4. The three heavier members are volatile molecular compounds, whereas the tetrafluoride is polymeric. All four halides are known for Sn(II) also: SnF2, SnCl2, SnBr2, and SnI2. All are polymeric solids. Of these eight compounds, only the iodides are colored.
What type of compound is tetraflouride?
The three heavier members are volatile molecular compounds, whereas the tetrafluoride is polymeric .
Halide compounds are known for both oxidation states. For Sn(IV), all four halides are well known: SnF4, SnCl4, SnBr4, and SnI4. The three heavier members are volatile molecular compounds, whereas the tetrafluoride is polymeric. All four halides are known for Sn(II) also: SnF2, SnCl2, SnBr2, and SnI2. All are polymeric solids. Of these eight compounds, only the iodides are colored.
The three heavier members are volatile molecular compounds, whereas the tetrafluoride is <hl> polymeric <hl> .
Halide compounds are known for both oxidation states. For Sn(IV), all four halides are well known: SnF4, SnCl4, SnBr4, and SnI4. The three heavier members are volatile molecular compounds, whereas the tetrafluoride is <hl> polymeric <hl>. All four halides are known for Sn(II) also: SnF2, SnCl2, SnBr2, and SnI2. All are polymeric solids. Of these eight compounds, only the iodides are colored.
Halide compounds are known for both oxidation states. For Sn(IV), all four halides are well known: SnF4, SnCl4, SnBr4, and SnI4. <hl> The three heavier members are volatile molecular compounds, whereas the tetrafluoride is polymeric . <hl> All four halides are known for Sn(II) also: SnF2, SnCl2, SnBr2, and SnI2. All are polymeric solids. Of these eight compounds, only the iodides are colored.
5d6700022b22cd4dfcfbe9d8
above the well.
question: What does the Japanese surname Inoue mean?, context: Many Japanese surnames derive from geographical features; for example, Ishikawa (石川) means "stone river", Yamamoto (山本) means "the base of the mountain", and Inoue (井上) means "above the well."
What does the Japanese surname Inoue mean?
Many Japanese surnames derive from geographical features; for example, Ishikawa (石川) means "stone river", Yamamoto (山本) means "the base of the mountain", and Inoue (井上) means " above the well. "
Many Japanese surnames derive from geographical features; for example, Ishikawa (石川) means "stone river", Yamamoto (山本) means "the base of the mountain", and Inoue (井上) means "above the well."
Many Japanese surnames derive from geographical features; for example, Ishikawa (石川) means "stone river", Yamamoto (山本) means "the base of the mountain", and Inoue (井上) means " <hl> above the well. <hl> "
Many Japanese surnames derive from geographical features; for example, Ishikawa (石川) means "stone river", Yamamoto (山本) means "the base of the mountain", and Inoue (井上) means "<hl> above the well. <hl>"
<hl> Many Japanese surnames derive from geographical features; for example, Ishikawa (石川) means "stone river", Yamamoto (山本) means "the base of the mountain", and Inoue (井上) means " above the well. " <hl>
5d673c1b2b22cd4dfcfbf397
November 1985
question: When was Windows 1.0 released?, context: The history of Windows dates back to September 1981, when Chase Bishop, a computer scientist, designed the first model of an electronic device and project Interface Manager was started. It was announced in November 1983 (after the Apple Lisa, but before the Macintosh) under the name "Windows", but Windows 1.0 was not released until November 1985. Windows 1.0 was to compete with Apple's operating system, but achieved little popularity. Windows 1.0 is not a complete operating system; rather, it extends MS-DOS. The shell of Windows 1.0 is a program known as the MS-DOS Executive. Components included Calculator, Calendar, Cardfile, Clipboard viewer, Clock, Control Panel, Notepad, Paint, Reversi, Terminal and Write. Windows 1.0 does not allow overlapping windows. Instead all windows are tiled. Only modal dialog boxes may appear over other windows.
When was Windows 1.0 released?
It was announced in November 1983 (after the Apple Lisa, but before the Macintosh) under the name "Windows", but Windows 1.0 was not released until November 1985 .
The history of Windows dates back to September 1981, when Chase Bishop, a computer scientist, designed the first model of an electronic device and project Interface Manager was started. It was announced in November 1983 (after the Apple Lisa, but before the Macintosh) under the name "Windows", but Windows 1.0 was not released until November 1985. Windows 1.0 was to compete with Apple's operating system, but achieved little popularity. Windows 1.0 is not a complete operating system; rather, it extends MS-DOS. The shell of Windows 1.0 is a program known as the MS-DOS Executive. Components included Calculator, Calendar, Cardfile, Clipboard viewer, Clock, Control Panel, Notepad, Paint, Reversi, Terminal and Write. Windows 1.0 does not allow overlapping windows. Instead all windows are tiled. Only modal dialog boxes may appear over other windows.
It was announced in November 1983 (after the Apple Lisa, but before the Macintosh) under the name "Windows", but Windows 1.0 was not released until <hl> November 1985 <hl> .
The history of Windows dates back to September 1981, when Chase Bishop, a computer scientist, designed the first model of an electronic device and project Interface Manager was started. It was announced in November 1983 (after the Apple Lisa, but before the Macintosh) under the name "Windows", but Windows 1.0 was not released until <hl> November 1985 <hl>. Windows 1.0 was to compete with Apple's operating system, but achieved little popularity. Windows 1.0 is not a complete operating system; rather, it extends MS-DOS. The shell of Windows 1.0 is a program known as the MS-DOS Executive. Components included Calculator, Calendar, Cardfile, Clipboard viewer, Clock, Control Panel, Notepad, Paint, Reversi, Terminal and Write. Windows 1.0 does not allow overlapping windows. Instead all windows are tiled. Only modal dialog boxes may appear over other windows.
The history of Windows dates back to September 1981, when Chase Bishop, a computer scientist, designed the first model of an electronic device and project Interface Manager was started. <hl> It was announced in November 1983 (after the Apple Lisa, but before the Macintosh) under the name "Windows", but Windows 1.0 was not released until November 1985 . <hl> Windows 1.0 was to compete with Apple's operating system, but achieved little popularity. Windows 1.0 is not a complete operating system; rather, it extends MS-DOS. The shell of Windows 1.0 is a program known as the MS-DOS Executive. Components included Calculator, Calendar, Cardfile, Clipboard viewer, Clock, Control Panel, Notepad, Paint, Reversi, Terminal and Write. Windows 1.0 does not allow overlapping windows. Instead all windows are tiled. Only modal dialog boxes may appear over other windows.
5d66eeac2b22cd4dfcfbe5ce
Language Interface Packs (LIPs)
question: What are the components for languages called?, context: Interface languages for the operating system are free for download, but some languages are limited to certain editions of Windows. Language Interface Packs (LIPs) are redistributable and may be downloaded from Microsoft's Download Center and installed for any edition of Windows (XP or later) - they translate most, but not all, of the Windows interface, and require a certain base language (the language which Windows originally shipped with). This is used for most languages in emerging markets. Full Language Packs, which translates the complete operating system, are only available for specific editions of Windows (Ultimate and Enterprise editions of Windows Vista and 7, and all editions of Windows 8, 8.1 and RT except Single Language). They do not require a specific base language, and are commonly used for more popular languages such as French or Chinese. These languages cannot be downloaded through the Download Center, but available as optional updates through the Windows Update service (except Windows 8).
What are the components for languages called?
Language Interface Packs (LIPs) are redistributable and may be downloaded from Microsoft's Download Center and installed for any edition of Windows (XP or later) - they translate most, but not all, of the Windows interface, and require a certain base language (the language which Windows originally shipped with).
Interface languages for the operating system are free for download, but some languages are limited to certain editions of Windows. Language Interface Packs (LIPs) are redistributable and may be downloaded from Microsoft's Download Center and installed for any edition of Windows (XP or later) - they translate most, but not all, of the Windows interface, and require a certain base language (the language which Windows originally shipped with). This is used for most languages in emerging markets. Full Language Packs, which translates the complete operating system, are only available for specific editions of Windows (Ultimate and Enterprise editions of Windows Vista and 7, and all editions of Windows 8, 8.1 and RT except Single Language). They do not require a specific base language, and are commonly used for more popular languages such as French or Chinese. These languages cannot be downloaded through the Download Center, but available as optional updates through the Windows Update service (except Windows 8).
<hl> Language Interface Packs (LIPs) <hl> are redistributable and may be downloaded from Microsoft's Download Center and installed for any edition of Windows (XP or later) - they translate most, but not all, of the Windows interface, and require a certain base language (the language which Windows originally shipped with).
Interface languages for the operating system are free for download, but some languages are limited to certain editions of Windows. <hl> Language Interface Packs (LIPs) <hl> are redistributable and may be downloaded from Microsoft's Download Center and installed for any edition of Windows (XP or later) - they translate most, but not all, of the Windows interface, and require a certain base language (the language which Windows originally shipped with). This is used for most languages in emerging markets. Full Language Packs, which translates the complete operating system, are only available for specific editions of Windows (Ultimate and Enterprise editions of Windows Vista and 7, and all editions of Windows 8, 8.1 and RT except Single Language). They do not require a specific base language, and are commonly used for more popular languages such as French or Chinese. These languages cannot be downloaded through the Download Center, but available as optional updates through the Windows Update service (except Windows 8).
Interface languages for the operating system are free for download, but some languages are limited to certain editions of Windows. <hl> Language Interface Packs (LIPs) are redistributable and may be downloaded from Microsoft's Download Center and installed for any edition of Windows (XP or later) - they translate most, but not all, of the Windows interface, and require a certain base language (the language which Windows originally shipped with). <hl> This is used for most languages in emerging markets. Full Language Packs, which translates the complete operating system, are only available for specific editions of Windows (Ultimate and Enterprise editions of Windows Vista and 7, and all editions of Windows 8, 8.1 and RT except Single Language). They do not require a specific base language, and are commonly used for more popular languages such as French or Chinese. These languages cannot be downloaded through the Download Center, but available as optional updates through the Windows Update service (except Windows 8).
5d6711412b22cd4dfcfbed41
chromatic
question: Linear fingering is also known as what?, context: The chromatic, or linear fingering, saxophone is a project of instrument designer and builder Jim Schmidt, developing a horn maximizing tactile and logical consistency between every interval on the horn regardless of key, and avoiding the acoustic problems associated closed keys below the first open tone hole. Several working prototypes have been built and presented at trade shows. Production of this fascinating and expensive saxophone is on an individual order basis according to the designer's website referenced above.
Linear fingering is also known as what?
The chromatic ,
The chromatic, or linear fingering, saxophone is a project of instrument designer and builder Jim Schmidt, developing a horn maximizing tactile and logical consistency between every interval on the horn regardless of key, and avoiding the acoustic problems associated closed keys below the first open tone hole. Several working prototypes have been built and presented at trade shows. Production of this fascinating and expensive saxophone is on an individual order basis according to the designer's website referenced above.
The <hl> chromatic <hl> ,
The <hl> chromatic <hl>, or linear fingering, saxophone is a project of instrument designer and builder Jim Schmidt, developing a horn maximizing tactile and logical consistency between every interval on the horn regardless of key, and avoiding the acoustic problems associated closed keys below the first open tone hole. Several working prototypes have been built and presented at trade shows. Production of this fascinating and expensive saxophone is on an individual order basis according to the designer's website referenced above.
<hl> The chromatic , <hl> or linear fingering, saxophone is a project of instrument designer and builder Jim Schmidt, developing a horn maximizing tactile and logical consistency between every interval on the horn regardless of key, and avoiding the acoustic problems associated closed keys below the first open tone hole. Several working prototypes have been built and presented at trade shows. Production of this fascinating and expensive saxophone is on an individual order basis according to the designer's website referenced above.
5d6761782b22cd4dfcfbf94c
in the 1960s
question: When did postmodern music come about?, context: The postmodern impulse in classical music arose in the 1960s with the advent of musical minimalism. Composers such as Terry Riley, Henryk Górecki, Bradley Joseph, John Adams, Steve Reich, Philip Glass, Michael Nyman, and Lou Harrison reacted to the perceived elitism and dissonant sound of atonal academic modernism by producing music with simple textures and relatively consonant harmonies, whilst others, most notably John Cage challenged the prevailing narratives of beauty and objectivity common to Modernism. Some composers have been openly influenced by popular music and world ethnic musical traditions.
When did postmodern music come about?
The postmodern impulse in classical music arose in the 1960s with the advent of musical minimalism.
The postmodern impulse in classical music arose in the 1960s with the advent of musical minimalism. Composers such as Terry Riley, Henryk Górecki, Bradley Joseph, John Adams, Steve Reich, Philip Glass, Michael Nyman, and Lou Harrison reacted to the perceived elitism and dissonant sound of atonal academic modernism by producing music with simple textures and relatively consonant harmonies, whilst others, most notably John Cage challenged the prevailing narratives of beauty and objectivity common to Modernism. Some composers have been openly influenced by popular music and world ethnic musical traditions.
The postmodern impulse in classical music arose <hl> in the 1960s <hl> with the advent of musical minimalism.
The postmodern impulse in classical music arose <hl> in the 1960s <hl> with the advent of musical minimalism. Composers such as Terry Riley, Henryk Górecki, Bradley Joseph, John Adams, Steve Reich, Philip Glass, Michael Nyman, and Lou Harrison reacted to the perceived elitism and dissonant sound of atonal academic modernism by producing music with simple textures and relatively consonant harmonies, whilst others, most notably John Cage challenged the prevailing narratives of beauty and objectivity common to Modernism. Some composers have been openly influenced by popular music and world ethnic musical traditions.
<hl> The postmodern impulse in classical music arose in the 1960s with the advent of musical minimalism. <hl> Composers such as Terry Riley, Henryk Górecki, Bradley Joseph, John Adams, Steve Reich, Philip Glass, Michael Nyman, and Lou Harrison reacted to the perceived elitism and dissonant sound of atonal academic modernism by producing music with simple textures and relatively consonant harmonies, whilst others, most notably John Cage challenged the prevailing narratives of beauty and objectivity common to Modernism. Some composers have been openly influenced by popular music and world ethnic musical traditions.
5d6723b22b22cd4dfcfbf062
morality forms in a series of constructive stages or domains
question: What defines the cognitive-developmental approach to moral development?, context: In modern moral psychology, morality is considered to change through personal development. A number of psychologists have produced theories on the development of morals, usually going through stages of different morals. Lawrence Kohlberg, Jean Piaget, and Elliot Turiel have cognitive-developmental approaches to moral development; to these theorists morality forms in a series of constructive stages or domains. Social psychologists such as Martin Hoffman and Jonathan Haidt emphasize social and emotional development based on biology, such as empathy. Moral identity theorists, such as William Damon and Mordechai Nisan, see moral commitment as arising from the development of a self-identity that is defined by moral purposes: this moral self-identity leads to a sense of responsibility to pursue such purposes. Of historical interest in psychology are the theories of psychoanalysts such as Sigmund Freud, who believe that moral development is the product of aspects of the super-ego as guilt-shame avoidance.
What defines the cognitive-developmental approach to moral development?
Lawrence Kohlberg, Jean Piaget, and Elliot Turiel have cognitive-developmental approaches to moral development; to these theorists morality forms in a series of constructive stages or domains .
In modern moral psychology, morality is considered to change through personal development. A number of psychologists have produced theories on the development of morals, usually going through stages of different morals. Lawrence Kohlberg, Jean Piaget, and Elliot Turiel have cognitive-developmental approaches to moral development; to these theorists morality forms in a series of constructive stages or domains. Social psychologists such as Martin Hoffman and Jonathan Haidt emphasize social and emotional development based on biology, such as empathy. Moral identity theorists, such as William Damon and Mordechai Nisan, see moral commitment as arising from the development of a self-identity that is defined by moral purposes: this moral self-identity leads to a sense of responsibility to pursue such purposes. Of historical interest in psychology are the theories of psychoanalysts such as Sigmund Freud, who believe that moral development is the product of aspects of the super-ego as guilt-shame avoidance.
Lawrence Kohlberg, Jean Piaget, and Elliot Turiel have cognitive-developmental approaches to moral development; to these theorists <hl> morality forms in a series of constructive stages or domains <hl> .
In modern moral psychology, morality is considered to change through personal development. A number of psychologists have produced theories on the development of morals, usually going through stages of different morals. Lawrence Kohlberg, Jean Piaget, and Elliot Turiel have cognitive-developmental approaches to moral development; to these theorists <hl> morality forms in a series of constructive stages or domains <hl>. Social psychologists such as Martin Hoffman and Jonathan Haidt emphasize social and emotional development based on biology, such as empathy. Moral identity theorists, such as William Damon and Mordechai Nisan, see moral commitment as arising from the development of a self-identity that is defined by moral purposes: this moral self-identity leads to a sense of responsibility to pursue such purposes. Of historical interest in psychology are the theories of psychoanalysts such as Sigmund Freud, who believe that moral development is the product of aspects of the super-ego as guilt-shame avoidance.
In modern moral psychology, morality is considered to change through personal development. A number of psychologists have produced theories on the development of morals, usually going through stages of different morals. <hl> Lawrence Kohlberg, Jean Piaget, and Elliot Turiel have cognitive-developmental approaches to moral development; to these theorists morality forms in a series of constructive stages or domains . <hl> Social psychologists such as Martin Hoffman and Jonathan Haidt emphasize social and emotional development based on biology, such as empathy. Moral identity theorists, such as William Damon and Mordechai Nisan, see moral commitment as arising from the development of a self-identity that is defined by moral purposes: this moral self-identity leads to a sense of responsibility to pursue such purposes. Of historical interest in psychology are the theories of psychoanalysts such as Sigmund Freud, who believe that moral development is the product of aspects of the super-ego as guilt-shame avoidance.
5d674fbf2b22cd4dfcfbf648
mathematical and philosophical
question: Which types of logic does Pitt excel in?, context: Many of university's individual schools, departments, and programs are highly regarded in their particular field as evidenced by the number of Pitt programs that were ranked in the latest National Research Council rankings. Particularly well regarded programs include Pitt's Department of Philosophy, which has long been renowned in the U.S. and worldwide, and is especially strong in the areas of mathematical and philosophical logic, metaphysics, history and philosophy of science, philosophy of language, philosophy of mathematics, philosophy of mind and psychology, and semantics.
Which types of logic does Pitt excel in?
Particularly well regarded programs include Pitt's Department of Philosophy, which has long been renowned in the U.S. and worldwide, and is especially strong in the areas of mathematical and philosophical logic, metaphysics, history and philosophy of science, philosophy of language, philosophy of mathematics, philosophy of mind and psychology, and semantics.
Many of university's individual schools, departments, and programs are highly regarded in their particular field as evidenced by the number of Pitt programs that were ranked in the latest National Research Council rankings. Particularly well regarded programs include Pitt's Department of Philosophy, which has long been renowned in the U.S. and worldwide, and is especially strong in the areas of mathematical and philosophical logic, metaphysics, history and philosophy of science, philosophy of language, philosophy of mathematics, philosophy of mind and psychology, and semantics.
Particularly well regarded programs include Pitt's Department of Philosophy, which has long been renowned in the U.S. and worldwide, and is especially strong in the areas of <hl> mathematical and philosophical <hl> logic, metaphysics, history and philosophy of science, philosophy of language, philosophy of mathematics, philosophy of mind and psychology, and semantics.
Many of university's individual schools, departments, and programs are highly regarded in their particular field as evidenced by the number of Pitt programs that were ranked in the latest National Research Council rankings. Particularly well regarded programs include Pitt's Department of Philosophy, which has long been renowned in the U.S. and worldwide, and is especially strong in the areas of <hl> mathematical and philosophical <hl> logic, metaphysics, history and philosophy of science, philosophy of language, philosophy of mathematics, philosophy of mind and psychology, and semantics.
Many of university's individual schools, departments, and programs are highly regarded in their particular field as evidenced by the number of Pitt programs that were ranked in the latest National Research Council rankings. <hl> Particularly well regarded programs include Pitt's Department of Philosophy, which has long been renowned in the U.S. and worldwide, and is especially strong in the areas of mathematical and philosophical logic, metaphysics, history and philosophy of science, philosophy of language, philosophy of mathematics, philosophy of mind and psychology, and semantics. <hl>
5d67b99c2b22cd4dfcfc009b
1983
question: In what year did Diana Conyers ask if the non-centralized model was merely a fashion?, context: Stephen Cummings wrote that decentralization became a "revolutionary megatrend" in the 1980s. In 1983 Diana Conyers asked if decentralization was the "latest fashion" in development administration. Cornell University's project on Restructuring Local Government states that decentralization refers to the "global trend" of devolving responsibilities to regional or local governments. Robert J. Bennett's Decentralization, Intergovernmental Relations and Markets: Towards a Post-Welfare Agenda describes how after World War II governments pursued a centralized "welfarist" policy of entitlements which now has become a "post-welfare" policy of intergovernmental and market-based decentralization.
In what year did Diana Conyers ask if the non-centralized model was merely a fashion?
In 1983 Diana Conyers asked if decentralization was the "latest fashion" in development administration.
Stephen Cummings wrote that decentralization became a "revolutionary megatrend" in the 1980s. In 1983 Diana Conyers asked if decentralization was the "latest fashion" in development administration. Cornell University's project on Restructuring Local Government states that decentralization refers to the "global trend" of devolving responsibilities to regional or local governments. Robert J. Bennett's Decentralization, Intergovernmental Relations and Markets: Towards a Post-Welfare Agenda describes how after World War II governments pursued a centralized "welfarist" policy of entitlements which now has become a "post-welfare" policy of intergovernmental and market-based decentralization.
In <hl> 1983 <hl> Diana Conyers asked if decentralization was the "latest fashion" in development administration.
Stephen Cummings wrote that decentralization became a "revolutionary megatrend" in the 1980s. In <hl> 1983 <hl> Diana Conyers asked if decentralization was the "latest fashion" in development administration. Cornell University's project on Restructuring Local Government states that decentralization refers to the "global trend" of devolving responsibilities to regional or local governments. Robert J. Bennett's Decentralization, Intergovernmental Relations and Markets: Towards a Post-Welfare Agenda describes how after World War II governments pursued a centralized "welfarist" policy of entitlements which now has become a "post-welfare" policy of intergovernmental and market-based decentralization.
Stephen Cummings wrote that decentralization became a "revolutionary megatrend" in the 1980s. <hl> In 1983 Diana Conyers asked if decentralization was the "latest fashion" in development administration. <hl> Cornell University's project on Restructuring Local Government states that decentralization refers to the "global trend" of devolving responsibilities to regional or local governments. Robert J. Bennett's Decentralization, Intergovernmental Relations and Markets: Towards a Post-Welfare Agenda describes how after World War II governments pursued a centralized "welfarist" policy of entitlements which now has become a "post-welfare" policy of intergovernmental and market-based decentralization.
5d65e5162b22cd4dfcfbd187
Automated theorem
question: What theorem proving system uses the development of computer programs that search and find derivations of mathematical theorems?, context: Automated theorem proving refers to the development of computer programs that search and find derivations (formal proofs) of mathematical theorems. Finding derivations is a difficult task because the search space can be very large; an exhaustive search of every possible derivation is theoretically possible but computationally infeasible for many systems of interest in mathematics. Thus complicated heuristic functions are developed to attempt to find a derivation in less time than a blind search.
What theorem proving system uses the development of computer programs that search and find derivations of mathematical theorems?
Automated theorem proving refers to the development of computer programs that search and find derivations (formal proofs) of mathematical theorems.
Automated theorem proving refers to the development of computer programs that search and find derivations (formal proofs) of mathematical theorems. Finding derivations is a difficult task because the search space can be very large; an exhaustive search of every possible derivation is theoretically possible but computationally infeasible for many systems of interest in mathematics. Thus complicated heuristic functions are developed to attempt to find a derivation in less time than a blind search.
<hl> Automated theorem <hl> proving refers to the development of computer programs that search and find derivations (formal proofs) of mathematical theorems.
<hl> Automated theorem <hl> proving refers to the development of computer programs that search and find derivations (formal proofs) of mathematical theorems. Finding derivations is a difficult task because the search space can be very large; an exhaustive search of every possible derivation is theoretically possible but computationally infeasible for many systems of interest in mathematics. Thus complicated heuristic functions are developed to attempt to find a derivation in less time than a blind search.
<hl> Automated theorem proving refers to the development of computer programs that search and find derivations (formal proofs) of mathematical theorems. <hl> Finding derivations is a difficult task because the search space can be very large; an exhaustive search of every possible derivation is theoretically possible but computationally infeasible for many systems of interest in mathematics. Thus complicated heuristic functions are developed to attempt to find a derivation in less time than a blind search.
5d6674c32b22cd4dfcfbdfae
Americas and the Caribbean Islands
question: Where were the enslaved Africans taken?, context: The first side of the triangle was the export of goods from Europe to Africa. A number of African kings and merchants took part in the trading of enslaved people from 1440 to about 1833. For each captive, the African rulers would receive a variety of goods from Europe. These included guns, ammunition and other factory made goods. The second leg of the triangle exported enslaved Africans across the Atlantic Ocean to the Americas and the Caribbean Islands. The third and final part of the triangle was the return of goods to Europe from the Americas. The goods were the products of slave-labour plantations and included cotton, sugar, tobacco, molasses and rum. Sir John Hawkins, considered the pioneer of the British slave trade, was the first to run the Triangular trade, making a profit at every stop.
Where were the enslaved Africans taken?
The second leg of the triangle exported enslaved Africans across the Atlantic Ocean to the Americas and the Caribbean Islands .
The first side of the triangle was the export of goods from Europe to Africa. A number of African kings and merchants took part in the trading of enslaved people from 1440 to about 1833. For each captive, the African rulers would receive a variety of goods from Europe. These included guns, ammunition and other factory made goods. The second leg of the triangle exported enslaved Africans across the Atlantic Ocean to the Americas and the Caribbean Islands. The third and final part of the triangle was the return of goods to Europe from the Americas. The goods were the products of slave-labour plantations and included cotton, sugar, tobacco, molasses and rum. Sir John Hawkins, considered the pioneer of the British slave trade, was the first to run the Triangular trade, making a profit at every stop.
The second leg of the triangle exported enslaved Africans across the Atlantic Ocean to the <hl> Americas and the Caribbean Islands <hl> .
The first side of the triangle was the export of goods from Europe to Africa. A number of African kings and merchants took part in the trading of enslaved people from 1440 to about 1833. For each captive, the African rulers would receive a variety of goods from Europe. These included guns, ammunition and other factory made goods. The second leg of the triangle exported enslaved Africans across the Atlantic Ocean to the <hl> Americas and the Caribbean Islands <hl>. The third and final part of the triangle was the return of goods to Europe from the Americas. The goods were the products of slave-labour plantations and included cotton, sugar, tobacco, molasses and rum. Sir John Hawkins, considered the pioneer of the British slave trade, was the first to run the Triangular trade, making a profit at every stop.
The first side of the triangle was the export of goods from Europe to Africa. A number of African kings and merchants took part in the trading of enslaved people from 1440 to about 1833. For each captive, the African rulers would receive a variety of goods from Europe. These included guns, ammunition and other factory made goods. <hl> The second leg of the triangle exported enslaved Africans across the Atlantic Ocean to the Americas and the Caribbean Islands . <hl> The third and final part of the triangle was the return of goods to Europe from the Americas. The goods were the products of slave-labour plantations and included cotton, sugar, tobacco, molasses and rum. Sir John Hawkins, considered the pioneer of the British slave trade, was the first to run the Triangular trade, making a profit at every stop.
5d65f54f2b22cd4dfcfbd400
Gothic revival
question: What type of architecture is featured on the Cathedral of Learning?, context: The university is composed of 17 undergraduate and graduate schools and colleges located at its urban Pittsburgh campus, home to the university's central administration and 28,766 undergraduate, graduate, and professional students. The university also includes four undergraduate schools located at campuses within Western Pennsylvania: Bradford, Greensburg, Johnstown, and Titusville. The 132-acre Pittsburgh campus has multiple contributing historic buildings of the Schenley Farms Historic District, most notably its 42-story Gothic revival centerpiece, the Cathedral of Learning. The campus is situated adjacent to the flagship medical facilities of its closely affiliated University of Pittsburgh Medical Center (UPMC), as well as the Carnegie Museums of Pittsburgh, Schenley Park, and Carnegie Mellon University.
What type of architecture is featured on the Cathedral of Learning?
The 132-acre Pittsburgh campus has multiple contributing historic buildings of the Schenley Farms Historic District, most notably its 42-story Gothic revival centerpiece, the Cathedral of Learning.
The university is composed of 17 undergraduate and graduate schools and colleges located at its urban Pittsburgh campus, home to the university's central administration and 28,766 undergraduate, graduate, and professional students. The university also includes four undergraduate schools located at campuses within Western Pennsylvania: Bradford, Greensburg, Johnstown, and Titusville. The 132-acre Pittsburgh campus has multiple contributing historic buildings of the Schenley Farms Historic District, most notably its 42-story Gothic revival centerpiece, the Cathedral of Learning. The campus is situated adjacent to the flagship medical facilities of its closely affiliated University of Pittsburgh Medical Center (UPMC), as well as the Carnegie Museums of Pittsburgh, Schenley Park, and Carnegie Mellon University.
The 132-acre Pittsburgh campus has multiple contributing historic buildings of the Schenley Farms Historic District, most notably its 42-story <hl> Gothic revival <hl> centerpiece, the Cathedral of Learning.
The university is composed of 17 undergraduate and graduate schools and colleges located at its urban Pittsburgh campus, home to the university's central administration and 28,766 undergraduate, graduate, and professional students. The university also includes four undergraduate schools located at campuses within Western Pennsylvania: Bradford, Greensburg, Johnstown, and Titusville. The 132-acre Pittsburgh campus has multiple contributing historic buildings of the Schenley Farms Historic District, most notably its 42-story <hl> Gothic revival <hl> centerpiece, the Cathedral of Learning. The campus is situated adjacent to the flagship medical facilities of its closely affiliated University of Pittsburgh Medical Center (UPMC), as well as the Carnegie Museums of Pittsburgh, Schenley Park, and Carnegie Mellon University.
The university is composed of 17 undergraduate and graduate schools and colleges located at its urban Pittsburgh campus, home to the university's central administration and 28,766 undergraduate, graduate, and professional students. The university also includes four undergraduate schools located at campuses within Western Pennsylvania: Bradford, Greensburg, Johnstown, and Titusville. <hl> The 132-acre Pittsburgh campus has multiple contributing historic buildings of the Schenley Farms Historic District, most notably its 42-story Gothic revival centerpiece, the Cathedral of Learning. <hl> The campus is situated adjacent to the flagship medical facilities of its closely affiliated University of Pittsburgh Medical Center (UPMC), as well as the Carnegie Museums of Pittsburgh, Schenley Park, and Carnegie Mellon University.
5d66f9772b22cd4dfcfbe8af
Daniel Whittle Harvey
question: Who did Henry White sell the paper to?, context: The paper began publication on 18 February 1821 as The New Observer, but from 21 April its title was changed to the Independent Observer. Its founder, Henry White, chose the name in an apparent attempt to take advantage of the success of the The Observer newspaper, which had been founded in 1791, although there was no connection between the two papers. On 20 October 1822 it was reborn as The Sunday Times, although it had no relationship with The Times. In January 1823, White sold the paper to Daniel Whittle Harvey, a radical politician.
Who did Henry White sell the paper to?
In January 1823, White sold the paper to Daniel Whittle Harvey , a radical politician.
The paper began publication on 18 February 1821 as The New Observer, but from 21 April its title was changed to the Independent Observer. Its founder, Henry White, chose the name in an apparent attempt to take advantage of the success of the The Observer newspaper, which had been founded in 1791, although there was no connection between the two papers. On 20 October 1822 it was reborn as The Sunday Times, although it had no relationship with The Times. In January 1823, White sold the paper to Daniel Whittle Harvey, a radical politician.
In January 1823, White sold the paper to <hl> Daniel Whittle Harvey <hl> , a radical politician.
The paper began publication on 18 February 1821 as The New Observer, but from 21 April its title was changed to the Independent Observer. Its founder, Henry White, chose the name in an apparent attempt to take advantage of the success of the The Observer newspaper, which had been founded in 1791, although there was no connection between the two papers. On 20 October 1822 it was reborn as The Sunday Times, although it had no relationship with The Times. In January 1823, White sold the paper to <hl> Daniel Whittle Harvey <hl>, a radical politician.
The paper began publication on 18 February 1821 as The New Observer, but from 21 April its title was changed to the Independent Observer. Its founder, Henry White, chose the name in an apparent attempt to take advantage of the success of the The Observer newspaper, which had been founded in 1791, although there was no connection between the two papers. On 20 October 1822 it was reborn as The Sunday Times, although it had no relationship with The Times. <hl> In January 1823, White sold the paper to Daniel Whittle Harvey , a radical politician. <hl>
5d682b7f2b22cd4dfcfc0632
amō
question: How is "I Love" spelled in latin?, context: Latin is a synthetic, fusional language, in the terminology of linguistic typology. In more traditional terminology, it is an inflected language, although the typologists are apt to say "inflecting". Thus words include an objective semantic element, and also markers specifying the grammatical use of the word. This fusion of root meaning and markers produces very compact sentence elements. For example, amō, "I love," is produced from a semantic element, ama-, "love," to which -ō, a first person singular marker, is suffixed.
How is "I Love" spelled in latin?
For example, amō , "I love," is produced from a semantic element, ama-, "love," to which -ō, a first person singular marker, is suffixed.
Latin is a synthetic, fusional language, in the terminology of linguistic typology. In more traditional terminology, it is an inflected language, although the typologists are apt to say "inflecting". Thus words include an objective semantic element, and also markers specifying the grammatical use of the word. This fusion of root meaning and markers produces very compact sentence elements. For example, amō, "I love," is produced from a semantic element, ama-, "love," to which -ō, a first person singular marker, is suffixed.
For example, <hl> amō <hl> , "I love," is produced from a semantic element, ama-, "love," to which -ō, a first person singular marker, is suffixed.
Latin is a synthetic, fusional language, in the terminology of linguistic typology. In more traditional terminology, it is an inflected language, although the typologists are apt to say "inflecting". Thus words include an objective semantic element, and also markers specifying the grammatical use of the word. This fusion of root meaning and markers produces very compact sentence elements. For example, <hl> amō <hl>, "I love," is produced from a semantic element, ama-, "love," to which -ō, a first person singular marker, is suffixed.
Latin is a synthetic, fusional language, in the terminology of linguistic typology. In more traditional terminology, it is an inflected language, although the typologists are apt to say "inflecting". Thus words include an objective semantic element, and also markers specifying the grammatical use of the word. This fusion of root meaning and markers produces very compact sentence elements. <hl> For example, amō , "I love," is produced from a semantic element, ama-, "love," to which -ō, a first person singular marker, is suffixed. <hl>
5d65f3422b22cd4dfcfbd3a4