The Underground Route to Mining: Afrikaners and the Witwatersrand Gold Mining Industry from 1902 to the 1907 Miners' Strike

1995 ◽  
Vol 36 (3) ◽  
pp. 467-489 ◽  
Author(s):  
Elaine N. Katz

This paper challenges the conventional view that the 1907 miners' strike constituted a landmark in the history of Afrikaner employment in the Witwatersrand gold mining industry. According to this view, the participation of Afrikaners during the dispute, as first-time miners and strike-breakers, gained them a permanent and proportionally large niche in the industry, for the first time. In sharp contrast, this paper demonstrates that Afrikaners already constituted a substantial percentage of white underground workers, particularly as a discrete category of workmen, the miners, well before the strike had even begunThe Afrikaner miners lacked training and mining skills. Yet, like the overseas professional miners, most of whom were British-born, they were classed as skilled workmen, eligible for skilled wages. This anomaly occurred because the so-called skills of the overseas professional miners were fragmented by the labour practices peculiar to the Rand. The expertise of the foreign miner derived from his all-round capabilities and experience. These were exclusively defined to constitute his so-called skill, and hence his skilled wage. But on the Witwatersrand, the overseas professional miners were required to draw on only one of their numerous accomplishments in a ‘specialized’, but only semi-skilled, capacity. They were employed either as supervisors of Africans, who performed drilling tasks, or as specialist pit men doing a single pit task among many: pump minding, pipe fitting, timbering or plate laying. Such fragmentation of the foreign miners' a11-round skills facilitated the entry of lesser trained men as miners, notably the Afrikaners.To become a miner, more specifically a supervisor, the Afrikaner needed only a brief period of specific instruction, which he acquired in one of several ways: through mine-sponsored experiments with unskilled white labour, rather than black; through the informal assistance of qualified miners; and through management-sponsored learner schemes intended to provide a core of compliant Afrikaner miners who would break the monopoly of skills and collective strength of the overseas professional miners. Such training enabled the Afrikaner to earn the compulsory, but readily available, blasting certificate, the award of which was confined to whites. Although most Afrikaners possessed this certificate, the hallmark of a skilled miner, they could not earn the customary white skilled wage because they were obliged to work under a System of contracts and not on day's pay.The incompetent Afrikaner miners nevertheless obtained billets easily, partly because of the industry's growth, but mainly because the overseas pioneer miners were decimated by the preventable occupational mining disease, silicosis: the locally born simply filled their places. The Afrikaners, of course, were also vulnerable to silicosis; but it was only from 1911 onwards that this gradually developing disease claimed them in significant numbers too.The overseas miners shunned the Afrikaners not only for ethnic reasons but also for material ones: they feared that the local miners, who were inefficient and had not been trained in the lengthy apprenticeships traditional in the industry, would undercut skilled wage rates. Management also scorned them because of their incompetence. Despite their relatively large numbers – they comprised at least one-third of the miners – the Afrikaners, who were unsuccessful, isolated and spurned, made little impact on the socio-economic and cultural fabric of the industry's work-force, either at the time of the 1907 strike or during its immediate aftermath.

Author(s):  
Wendell Bird

This book discusses the revolutionary broadening of concepts of freedoms of press and speech in Great Britain and in America during the quarter century before the First Amendment and Fox’s Libel Act. The conventional view of the history of freedoms of press and speech is that the common law since antiquity defined those freedoms narrowly. In that view, Sir William Blackstone in 1769, and Lord Chief Justice Mansfield in 1770, faithfully summarized that common law in giving very narrow definitions of those freedoms as mere liberty from prior restraint and not as liberty from punishment after printing or speaking (the political crimes of seditious libel and seditious speech). Today, that view continues to be held by neo-Blackstonians, and remains dominant or at least very influential among historians. Neo-Blackstonians claim that the Framers used freedom of press “in a Blackstonian sense to mean a guarantee against previous restraints” with no protection against “subsequent restraints” (punishment) of seditious expression. Neo-Blackstonians further claim that “[n]o other definition of freedom of the press by anyone anywhere in America before 1798” existed. This book, by contrast, concludes that a broad definition and understanding of freedoms of press and speech was the dominant context of the First Amendment and of Fox’s Libel Act. Its basis is hundreds of examples of a broad understanding of freedoms of press and speech, in both Britain and America, in the late eighteenth century. For example, a book published in London in 1760 by a Scottish lawyer, George Wallace, stated that it is tyranny “to restrain the freedom of speculative disquisitions,” and because “men have a right to think for themselves, and to publish their thoughts,” it is “monstrous … under the pretext of the authority of laws, which ought never to have been enacted … attempting to restrain the liberty of the press” (seditious libel law). This book also challenges the conventional view of Blackstone and the neo-Blackstonians. Blackstone and Mansfield did not find any definition in the common law, but instead selected the narrowest definition in popular essays from the prior seventy years. Blackstone misdescribed it as an accepted common law definition, which in fact did not exist, and a year later Mansfield inserted a similar definition into the common law for the first time. Both misdescribed that narrow definition and the unique rules for prosecuting sedition as ancient. They were leading a counter-revolution, cloaked as a summary of a narrow and ancient common law doctrine that was neither.


2021 ◽  
pp. 106-115
Author(s):  
ANTON VLADIMIROVICH MELNIKOV ◽  
◽  
VITALY ALEKSEEVICH STEPANOV ◽  

The materials on discovery and study of the Bamskoye gold deposit of the Amur province are given. The field was discovered in 1979 during lithogeochemical survey of 1: 200000 scale. The carried out prospecting and exploration work established a large scale of the field. An overview of publications on geological and structural features of the deposit, geochemistry and mineral composition of ores was made. It is indicated that the Bamskoye deposit may be the basis of the gold mining industry of the Amur Region for the coming decades.


Author(s):  
V. A. Maruev

The article features an analysis of projects of congresses of gold miners in Transbaikal and correspondence concerning the organization of these congresses in 1898 – 1919. It is the first time a number of documents of the State Archive of Irkutsk region and the State Archive of the Transbaikal region have been examined. The article describes the history of the origin and development of the Congress of prospectors, as an independent institution. It illustrates the evolution of the role of the Congress as a body representing the collective interests of gold industry entrepreneurs. The article reveals contradictions between the gold miners they faced in addressing the issues. The research identifies the key interests and problems of gold miners at the turn of XIX – XX centuries On the basis of documents on the organization of congresses it examines the situation of workers, development of medical Affairs, the condition of routs of communication in the mines. The conclusion is made about the value of the documents of the congresses for the study of issues of social, technical and financial challenges of gold mining. The archival data reveal the effect of Russia's participation in the RussoJapanese and First World wars on its gold production. The obtained results allow a more detailed study of the gold mining past of this region. 


An account is given for the first time of the development of Mutela bourguignati (Ancey) Bourguignat, an African freshwater bivalve of the family Mutelidae. Eggs are shed in large numbers into the inner demibranchs. There they develop into minute larvae similar in some respects to the lasidium larvae of certain South American freshwater mussels, but differing in several ways. Each larva consists of a rounded body covered dorsally and laterally by a thin pellicle and provided anteriorly with two lobes clothed with cilia. Posteriorly, and on the ventral surface, are two sets of minute hooks. Anteriorly is a remarkable elongate, flaccid and colourless tentacle more than seventy times as long as the larva itself. There is no gut, nor can endodermal or mesodermal tissues be recognized as such at this stage. After liberation via the exhalant siphon these larvae settle on the cyprinid fish Barbus altianalis radcliffi and there metamorphose and begin a parasitic phase of development. The larval pellicle folds, and its opposed edges fuse so as completely to enclose the larva. Two tubular outgrowths grow from its anterior end into the superficial tissues of the fish and serve both as organs of attachment and nutrition. In their vicinity skeletal tissues of the host are broken down. The main body of the larva, now designated the haustorial larva, elongates and becomes differentiated into a stalk and a bud. The stalk protrudes from the fish and bears the bud clear of the host. Within the bud the adult bivalve eventually develops. The stalk is traversed by long prolongations of the mantle which run into the haustorial tubes and function as absorptive tissues. The cuticle is not calcified nor is it composed of conchiolin. As differentiation proceeds the definitive mantle, which is the lineal descendant of the larval mantle, begins to secrete first periostracum then calcareous matter to form the rudiments of the valves, and a rudiment of the ligament is also formed. As adult features gradually appear the bud is burst and a young bivalve, little more than 1 mm in length, attached to a long stalk emerges. Independent, particulate feeding commences at this stage. Rupture of both cuticular and mantle elements eventually takes place at the point of juncture of stalk and young bivalve and the latter falls away to begin an independent existence. At the time of release it is capable of active locomotion and is able to produce a slender byssus thread. A detailed, illustrated account of these changes, both external and internal, is given, and the development of certain individual organs is traced. The nature of the cuticle of the haustorial larva, the effect of this larva on its host, and the affinities and probable evolution of the larval stages are discussed, and the importance of taking larval development into account in classification is emphasized.


1989 ◽  
Vol 114 (2) ◽  
pp. 141-163 ◽  
Author(s):  
Norman E. Smith

The birth of a genre surely is one of the most fascinating occurrences in the history of music, and no genre of medieval music had a more interesting birth than the motet. Study of the motet in modern times found special impetus and direction in 1898 when Wilhelm Meyer announced his discovery of the origin of the motet in the discant clausulae of the Notre Dame organa. Demonstrating the musical identity of certain Latin motets and discant clausulae, he concluded that the motet arose through the addition of Latin texts to the melismatic upper voices of the two-voice clausulae and was thereby able to explain for the first time the previously baffling and unprecedented verse structures of many motet texts. In doing so, he at the same time made it clear that he understood the French motet to be of later origin than the Latin and brushed aside special questions concerning the French type, such as, for example, its most provocative feature: its characteristic use of refrains. How was one to understand the presence of refrains in a French motet supposedly derived from a sacred, liturgical model? This and other difficult questions refused to disappear, and they continued to be raised from time to time, but Meyer's explanation of the origin of the motet gained general acceptance, most decisively and influentially from Friedrich Ludwig. All of Ludwig's writings on the motet bespeak his endorsement of Meyer's position, but nowhere more explicitly than in the Repertorium:These compositions [discant clausulae] were still more important by virtue of the fact that they served in rather large numbers as musical sources of motets, at first for Latin motets and later, although in more limited numbers, also for French motets - a fact, first recognized for the Latin motets by Wilhelm Meyer in 1898 (Der Ursprung des Motetts), claiming central importance for the history of music about 1200.


2013 ◽  
Vol 40 (2) ◽  
pp. 244-256 ◽  
Author(s):  
Holger Funk

In the history of botany, Adam Zalužanský (d. 1613), a Bohemian physician, apothecary, botanist and professor at the University of Prague, is a little-known personality. Linnaeus's first biographers, for example, only knew Zalužanský from hearsay and suspected he was a native of Poland. This ignorance still pervades botanical history. Zalužanský is mentioned only peripherally or not at all. As late as the nineteenth century, a researcher would be unaware that Zalužanský’s main work Methodi herbariae libri tres actually existed in two editions from two different publishers (1592, Prague; 1604, Frankfurt). This paper introduces the life and work of Zalužanský. Special attention is paid to the chapter “De sexu plantarum” of Zalužanský’s Methodus, in which, more than one hundred years before the well-known De sexu plantarum epistola of R. J. Camerarius, the sexuality of plants is suggested. Additionally, for the first time, an English translation of Zalužanský’s chapter on plant sexuality is provided.


2008 ◽  
Vol 1 (2) ◽  
pp. 139-155 ◽  
Author(s):  
YAEL DARR

This article describes a crucial and fundamental stage in the transformation of Hebrew children's literature, during the late 1930s and 1940s, from a single channel of expression to a multi-layered polyphony of models and voices. It claims that for the first time in the history of Hebrew children's literature there took place a doctrinal confrontation between two groups of taste-makers. The article outlines the pedagogical and ideological designs of traditionalist Zionist educators, and suggests how these were challenged by a group of prominent writers of adult poetry, members of the Modernist movement. These writers, it is argued, advocated autonomous literary creation, and insisted on a high level of literary quality. Their intervention not only dramatically changed the repertoire of Hebrew children's literature, but also the rules of literary discourse. The article suggests that, through the Modernists’ polemical efforts, Hebrew children's literature was able to free itself from its position as an apparatus controlled by the political-educational system and to become a dynamic and multi-layered field.


2020 ◽  
Vol 72 (2) ◽  
Author(s):  
Tomasz Dzieńkowski ◽  
Marcin Wołoszyn ◽  
Iwona Florkiewicz ◽  
Radosław Dobrowolski ◽  
Jan Rodzik ◽  
...  

The article discusses the results of the latest interdisciplinary research of Czermno stronghold and its immediate surroundings. The site is mentioned in chroniclers’ entries referring to the stronghold Cherven’ (Tale of Bygone Years, first mention under the year 981) and the so-called Cherven’ Towns. Given the scarcity of written records regarding the history of today’s Eastern Poland, Ukraine, and Belarus in the 10th and 11th centuries, recent archaeological research, supported by geoenvironmental analyses and absolute dating, brought a significant qualitative change. In 2014 and 2015, the remains of the oldest rampart of the stronghold were uncovered for the first time. A series of radiocarbon datings allows us to refer the erection of the stronghold to the second half/late 10th century. The results of several years’ interdisciplinary research (2012-2020) introduce qualitatively new data to the issue of the Cherven’ Towns, which both change current considerations and confirm the extraordinary research potential in the archeology of the discussed region.


Author(s):  
Michael D. Gordin

Dmitrii Mendeleev (1834–1907) is a name we recognize, but perhaps only as the creator of the periodic table of elements. Generally, little else has been known about him. This book is an authoritative biography of Mendeleev that draws a multifaceted portrait of his life for the first time. As the book reveals, Mendeleev was not only a luminary in the history of science, he was also an astonishingly wide-ranging political and cultural figure. From his attack on Spiritualism to his failed voyage to the Arctic and his near-mythical hot-air balloon trip, this is the story of an extraordinary maverick. The ideals that shaped his work outside science also led Mendeleev to order the elements and, eventually, to engineer one of the most fascinating scientific developments of the nineteenth century. This book is a classic work that tells the story of one of the world's most important minds.


Author(s):  
Rachel Ablow

The nineteenth century introduced developments in science and medicine that made the eradication of pain conceivable for the first time. This new understanding of pain brought with it a complex set of moral and philosophical dilemmas. If pain serves no obvious purpose, how do we reconcile its existence with a well-ordered universe? Examining how writers of the day engaged with such questions, this book offers a compelling new literary and philosophical history of modern pain. The book provides close readings of novelists Charlotte Brontë and Thomas Hardy and political and natural philosophers John Stuart Mill, Harriet Martineau, and Charles Darwin, as well as a variety of medical, scientific, and popular writers of the Victorian age. The book explores how discussions of pain served as investigations into the status of persons and the nature and parameters of social life. No longer conceivable as divine trial or punishment, pain in the nineteenth century came to seem instead like a historical accident suggesting little or nothing about the individual who suffers. A landmark study of Victorian literature and the history of pain, the book shows how these writers came to see pain as a social as well as a personal problem. Rather than simply self-evident to the sufferer and unknowable to anyone else, pain was also understood to be produced between persons—and even, perhaps, by the fictions they read.


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