XXVIII.—The Plant Remains in the Scottish Peat Mosses

1906 ◽  
Vol 41 (3) ◽  
pp. 699-723 ◽  
Author(s):  
Francis J. Lewis

The following paper deals with an investigation of the successive zones of plant remains contained in the deeper peat deposits covering areas in the Scottish Southern Uplands. The field work was carried on during the summer and early autumn of 1904, and the detailed examination of the peat in the laboratory during part of the winter. No attempt has been made to work out the detailed flora of the different zones, but attention has chiefly been directed to the dominant plant remains found at different horizons in the mosses. Whilst the list of plants from each zone is small, the general facies of the flora of any layer can be gauged from the abundant presence of a few characteristic plants such as Salix reticulata and Empetrum, or Sphagnum and Eriophorum. Thus, while the investigation is incomplete as regards any addition to the history of the British Flora, it will, I hope, throw some light upon the succession of vegetation over the older peat mosses since their origin.

1911 ◽  
Vol 47 (4) ◽  
pp. 793-833 ◽  
Author(s):  
Francis J. Lewis

The present paper deals with further investigations into the structure, the stratification, and the plant remains of peat deposits, carried on in various districts during 1907, 1908, and 1909.The objects of the research, stated briefly, are to determine, as far as the state of preservation of the material permits, the history of the flora on peat-covered areas since their formation during the later stages of the glacial period. This really resolves itself into a research dealing with the changes in distribution undergone in post-glacial times by part of the British flora.


Author(s):  
Adam A. Garde ◽  
Brian Chadwick ◽  
John Grocott ◽  
Cees Swager

NOTE: This article was published in a former series of GEUS Bulletin. Please use the original series name when citing this article, for example: Garde, A. A., Chadwick, B., Grocott, J., & Swager, C. (1997). Metasedimentary rocks, intrusions and deformation history in the south-east part of the c. 1800 Ma Ketilidian orogen, South Greenland: Project SUPRASYD 1996. Geology of Greenland Survey Bulletin, 176, 60-65. https://doi.org/10.34194/ggub.v176.5063 _______________ The south-east part of the c. 1800 Ma Ketilidian orogen in South Greenland (Allaart, 1976) is dominated by strongly deformed and variably migmatised metasedimentary rocks known as the ‘Psammite and Pelite Zones’ (Chadwick & Garde, 1996); the sediments were mainly derived from the evolving Julianehåb batholith which dominates the central part of the orogen. The main purpose of the present contribution is to outline the deformational history of the Psammite Zone in the region between Lindenow Fjord and Kangerluluk (Fig. 2), investigated in 1994 and 1996 as part of the SUPRASYD project (Garde & Schønwandt, 1995 and references therein; Chadwick et al., in press). The Lindenow Fjord region has high alpine relief and extensive ice and glacier cover, and the fjords are regularly blocked by sea ice. Early studies of this part of the orogen were by boat reconnaissance (Andrews et al., 1971, 1973); extensive helicopter support in the summers of 1992 and 1994 made access to the inner fjord regions and nunataks possible for the first time.A preliminary geological map covering part of the area between Lindenow Fjord and Kangerluluk was published by Swager et al. (1995). Hamilton et al. (1996) have addressed the timing of sedimentation and deformation in the Psammite Zone by means of precise zircon U-Pb geochronology. However, major problems regarding the correlation of individual deformational events and their relationship with the evolution of the Julianehåb batholith were not resolved until the field work in 1996. The SUPRASYD field party in 1996 (Fig. 1) was based at the telestation of Prins Christian Sund some 50 km south of the working area (Fig. 2). In addition to base camp personnel, helicopter crew and the four authors, the party consisted of five geologists and M.Sc. students studying mafic igneous rocks and their mineralisation in selected areas (Stendal et al., 1997), and a geologist investigating rust zones and areas with known gold anomalies.


Author(s):  
Simon James

Dura-Europos, a Parthian-ruled Greco-Syrian city, was captured by Rome c.AD165. It then accommodated a Roman garrison until its destruction by Sasanian siege c.AD256. Excavations of the site between the World Wars made sensational discoveries, and with renewed exploration from 1986 to 2011, Dura remains the best-explored city of the Roman East. A critical revelation was a sprawling Roman military base occupying a quarter of the city's interior. This included swathes of civilian housing converted to soldiers' accommodation and several existing sanctuaries, as well as baths, an amphitheatre, headquarters, and more temples added by the garrison. Base and garrison were clearly fundamental factors in the history of Roman Dura, but what impact did they have on the civil population? Original excavators gloomily portrayed Durenes evicted from their homes and holy places, and subjected to extortion and impoverishment by brutal soldiers, while recent commentators have envisaged military-civilian concordia, with shared prosperity and integration. Detailed examination of the evidence presents a new picture. Through the use of GPS, satellite, geophysical and archival evidence, this volume shows that the Roman military base and resident community were even bigger than previously understood, with both military and civil communities appearing much more internally complex than has been allowed until now. The result is a fascinating social dynamic which we can partly reconstruct, giving us a nuanced picture of life in a city near the eastern frontier of the Roman world.


2019 ◽  
Vol 84 (3) ◽  
pp. 400-419 ◽  
Author(s):  
Molly Carney ◽  
Jade d'Alpoim Guedes ◽  
Kevin J. Lyons ◽  
Melissa Goodman Elgar

This project considered the deposition history of a burned structure located on the Kalispel Tribe of Indians ancestral lands at the Flying Goose site in northeastern Washington. Excavation of the structure revealed stratified deposits that do not conform to established Columbia Plateau architectural types. The small size, location, and absence of artifacts lead us to hypothesize that this site was once a non-domestic structure. We tested this hypothesis with paleoethnobotanical, bulk geoarchaeological, thin section, and experimental firing data to deduce the structural remains and the post-occupation sequence. The structure burned at a relatively low temperature, was buried soon afterward with imported rubified sediment, and was exposed to seasonal river inundation. Subsequently, a second fire consumed a unique assemblage of plant remains. Drawing on recent approaches to structured deposition and historic processes, we incorporate ethnography to argue that this structure was a menstrual lodge. These structures are common in ethnographic descriptions, although no menstrual lodges have been positively identified in the archaeological record of the North American Pacific Northwest. This interpretation is important to understanding the development and time depth of gendered practices of Interior Northwest groups.


The Holocene ◽  
2015 ◽  
Vol 26 (4) ◽  
pp. 603-613 ◽  
Author(s):  
Emilia Allevato ◽  
Antonio Saracino ◽  
Silvio Fici ◽  
Gaetano Di Pasquale

2017 ◽  
Vol 54 (2) ◽  
pp. 147-182 ◽  
Author(s):  
Samuel Wright

This study reconstructs the connected history of socio-economic and intellectual practices related to property in seventeenth-century Bengal. From the perspective of socio-economic practices, this study is concerned with the legal transfer of immovable property between individuals. From the perspective of intellectual practice, this study is concerned with how property was understood as an analytical category that stood in a particular relation to an individual. Their connected history is examined by analysing socio-economic practices exemplified in a number of documents detailing the sale and donation of land and then situating these practices within the scholarly analysis of property undertaken by authors within the discipline of nyāya—the Sanskrit discipline dealing primarily with ontology and epistemology. In the first section of the essay, I undertake a detailed examination of available land documents in order to highlight particular conceptions of property. In the second section of the essay, I draw out theoretical issues examined in nyāya texts that relate directly to the concepts expressed in the land documents. In the third and final section of the essay, I discuss the shared language and shared concepts between the documents and nyāya texts. This last section also addresses how the nyāya analysis of property facilitates a better understanding of claims in the documents and what nyāya authors may have been doing in writing about property.


2002 ◽  
Vol 19 (2) ◽  
pp. 306-331 ◽  
Author(s):  
Gregory Butler

Evidence from the original printed edition not only supports Philipp Spitta's theory that Bach sent the print of his Musical Offering to Frederick the Great in Potsdam in two separate installments but further suggests that the work was also printed in two distinct sections, the first in Leipzig and the second possibly in the region of Halle. In Bach's earliest concept of the work, it was to have included only the three- and six-part ricercars; he subsequently enlarged the scope of the collection. A detailed examination of the engraving suggests why this was so, and it also reveals that a third Schüübler brother was involved in the engraving of the plates. Finally, the heterogeneous makeup of the surviving exemplars of the print hints at a novel strategy adopted by Bach for the marketing of the work.


2016 ◽  
Vol 2016 ◽  
pp. 1-4
Author(s):  
Jun Suganuma ◽  
Tadashi Sugiki ◽  
Yutaka Inoue

We report a case of bilateral, permanent subluxation of the lateral meniscus. To our knowledge, the present case is the first reported description of bilateral irreducible anterior dislocation of the posterior segment of the lateral meniscus. This disorder is characterized by a flipped meniscus sign of the lateral meniscus on sagittal magnetic resonance images of the knee joint, with no history of trauma or locking symptoms. A detailed examination of serial magnetic resonance images of the lateral meniscus can help differentiate this condition from malformation of the lateral meniscus, that is, a double-layered meniscus. We recommend two-stage treatment for this disorder. First, the knee joint is kept in straight position for 3 weeks after the lateral meniscus is reduced to the normal position. Second, if subluxation of the lateral meniscus recurs, meniscocapsular suture is then performed. Although subluxation of the lateral meniscus without locking symptoms is rare, it is important to be familiar with this condition to diagnose and treat it correctly.


1985 ◽  
Vol 24 (95) ◽  
pp. 327-340
Author(s):  
Francis Thompson

The Irish land act of 1881, it is generally agreed, was a victory for the Land League and Parnell, and nationalist policy with regard to the act and the attitude of southern tenants towards it have been many times subjected to detailed examination by historians of this period. In these analyses of the events of 1880–81, however, little reference is normally made to the part played by the different parties and interests in the north of the country. It is often assumed, for example, that the Ulster tenants held aloof from the campaign for reform, lending no more than occasional vocal support to the agitational efforts of tenants in the south and west. Indeed, they were later excoriated by William O'Brien, Michael Davitt and others not only for giving no support to the land movement but also for sabotaging Parnell's policy of testing the 1881 act by precipitately rushing into the land courts to take advantage of the new legislation: ‘that hard-fisted body of men, having done nothing themselves to win the act, thought of nothing but turning it to their own immediate use, and repudiating any solidarity with the southern and western rebels to whom they really owed it’. If, however, northern tenants were harshly judged by nationalist politicians in the years after 1881, the part played by the northern political parties in the history of the land bill has been either ignored or misunderstood by historians since that time. The Ulster liberals, for example, are rarely mentioned, the implication being that they made no contribution to the act even though it implemented almost exactly the programme on which they had been campaigning for much of the previous decade. The northern conservatives, on the other hand, are commonly seen as leading opponents of the bill, more intransigent than their party colleagues in the south, ‘quick to denounce any weakening of the opposition’ to reform, and ‘determined to keep the tory party up to the mark in defending the landlord interest’


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