scholarly journals Modelling the Pleistocene colonisation of Eastern Mediterranean islandscapes

PLoS ONE ◽  
2021 ◽  
Vol 16 (10) ◽  
pp. e0258370
Author(s):  
Theodora Moutsiou ◽  
Christian Reepmeyer ◽  
Vasiliki Kassianidou ◽  
Zomenia Zomeni ◽  
Athos Agapiou

Predictive models have become an integral part of archaeological research, particularly in the discovery of new archaeological sites. In this paper, we apply predictive modeling to map high potential Pleistocene archaeological locales on the island of Cyprus in the Eastern Mediterranean. The model delineates landscape characteristics that denote areas with high potential to unearth Pleistocene archaeology while at the same time highlighting localities that should be excluded. The predictive model was employed in surface surveys to systematically access high probability locales on Cyprus. A number of newly identified localities suggests that the true density of mobile hunter-gatherer sites on Cyprus is seriously underestimated in current narratives. By adding new data to this modest corpus of early insular sites, we are able to contribute to debates regarding island colonisation and the role of coastal environments in human dispersals to new territories.

1993 ◽  
Vol 34 (1) ◽  
pp. 33-64 ◽  
Author(s):  
J. E. G. Sutton

The main interlacustrine kingdoms have been presented, on the evidence of their royal genealogies recalling up to thirty reigns, as stretching back to a ‘Chwezi’ period some five centuries ago. This view was promoted especially in the Kitara zone, comprising Bunyoro and regions to its south and, as a close linguistic grouping, extending to Nkore, Karagwe and Buhaya. Rwanda to the south-west and Buganda to the east, though each rather distinct, share some of the same cultural and traditional features. In the central Kitara zone it has been further argued that the ‘Chwezi’ period is represented by various impressive archaeological sites – hilltop shrines, notably at Mubende, with special and archaic objects; complex earthwork enclosures at Bigo and elsewhere; and the concentrated settlement nearby at Ntusi. Certain of these have been claimed as Chwezi royal capitals of ancient Kitara, and specific features have been compared with royal abodes of recent centuries. Such literal interpretation, let alone royalist manipulation, of oral traditions is now considered too simplistic; not only are the Chwezi generally regarded as gods or mythical heroes, but also the role of archaeology is now seen as something more positive than the mere verification of verbal evidence.Renewed archaeological research indicates that Ntusi was occupied from about the eleventh to the fifteenth centuries a.d. and that the earthworks, including Bigo, and the settlement on Mubende hill fall into the latter half of that span. This cultural grouping thrived on a combination of cattle-keeping and grain cultivation, as is especially clear at Ntusi on fertile ground in the midst of the Bwera grasslands. It may have been the growing strains of a delicately balanced economy as competition increased for cattle and the pastures which led to its eventual breakdown. During the last half-millennium Bwera has been a peripheral and lightly populated district between Bunyoro, Nkore and Buganda. It is difficult to imagine these later kingdoms developing directly out of a supposed ‘Chwezi’ one based at Ntusi and the Bigo constructions.Two periods of marked change are discernible therefore, one around the middle of this millennium, the other at its beginning. That earlier, mid-Iron Age, revolution witnessed the introduction of cattle on a large scale and the first intensive exploitation of the interlacustrine grasslands. Cattle becoming then an economic asset, it may be inferred that ownership of stock and defence of the pastures became sources of prestige and patronage, with obvious social, political and military implications. This situation opened opportunities for other specializations, including the production of salt for distant distribution. Traditions concerning gods and heroes, and the continuing popular chwezi cults, illustrate the changes and may also echo the cultural and economic importance of iron and its working among agricultural populations from before the pastoral revolution.


Heritage ◽  
2018 ◽  
Vol 1 (2) ◽  
pp. 437-452 ◽  
Author(s):  
Iulian Ganciu

The phenomenon of metal detecting in Romania is growing rapidly, with more and more cases being registered every year. In a context where there is less money for archaeological research, museums are relying more and more on discoveries made by metal detectorists in order to enrich their collections. This situation encourages the practice, and in time could have damaging effects on the archaeological heritage of Romania. Metal detecting represents an activity that has raised lots of debate, but the authorities have not yet taken action. Thus, this study is necessary: in order to find a middle ground between metal detectorists, archaeology, and the institutions responsible for the protection of heritage. Such a middle ground could be a bridge that leads to the better preservation of archaeological heritage in Romania. This study focuses on creating a policy to protect the archaeological sites of Romania, creating awareness among local communities as well as a policy that could be applicable elsewhere in other places that are also involved in this sort of activity.


Author(s):  
N.E. Berdnikova ◽  
G.A. Vorobieva ◽  
I.M. Berdnikov ◽  
A.A. Shchetnikov ◽  
I.A. Filinov ◽  
...  

The value of geoarchaeology in archaeological research is discussed with an example of Baikal Siberia. Geoarchaeology is considered as an interface between archaeology and Earth sciences comprising a specific set of approaches, methods, and procedures. Nowadays, geoarchaeology constitutes a full-fledged research branch within the world archaeological practice. However, there are some problems in the determination of the essence and the role of geoarchaeology in archaeological studies, especially in Russia. In particular, the question whether geoarchaeology represents an independent discipline or an interdisciplinary approach has not been resolved yet. Moreover, archaeologists often focus on increasing the number of analytical methods to the detriment of their conceptual basis. In the Russian archaeological practice, the uncertain role of geoarchaeology is manifested by its perception as an auxiliary discipline with limited capabilities for the archaeological interpretations. As a result of many years of research on archaeological sites of Baikal Siberia, we have developed our own concept of geoarchaeology as a source study with a transdisciplinary character. It is based on four principles. Firstly, in our opinion, geoarchaeology constitutes a source study discipline with its own research methods. Geoarchaeological assessment represents one of the most important verification methods aimed at the determination of the degree of correspondence between the results of archaeological and natural science data. Secondly, the main object of research is a geoarchaeological object, which is a composite integral system with a mixture of traces of natural and anthropogenic events encrypted in it. We define the layer with cultural remains, where the natural component predominates, as ‘culture-bearing’. The layer with the predominantly anthropogenic component can be called ‘cultural’. Thirdly, geoarchaeology should be a transdisciplinary branch, the nature of which is determined by the complex origins of the geoarchaeological site. Such an amalgamation allows overcoming disciplinary differences and contradictions which leads to the formation of new knowledge levels. At fourth, geoarchaeological research should be based principally on the methods of actualism and stratigraphy in conjunction with overcoming misidentification of objects and phenomena, as well as on the pedolithological and event-driven approaches.


Author(s):  
Douglas William Jones

Within the past 20 years, archaeobotanical research in the Eastern United States has documented an early agricultural complex before the dominance of the Mesoamerican domesticates (corn, beans, and squash) in late prehistoric and historic agricultural systems. This early agricultural complex consisted of domesticated plants such as Iva annua var.macrocarpa (Sumpweed or Marshelder), Hellanthus annuus (Sunflower) and Chenopodium berlandieri, (Goosefoot or Lasbsquarters), and heavily utilized plants such as Polygonum erectum (Erect Knotweed), Phalaris caroliniana (May grass), and Hordeum pusillum (Little Barley).Recent research involving the use of Scanning Electron Microscopy (SEM) specifically on Chenopodium has established diagnostic traits of wild and domesticated species seeds. This is important because carbonized or uncarbonized seeds are the most commonly recovered Chenopodium material from archaeological sites. The diagnostic seed traits assist archaeobotanists in identification of Chenopodium remains and provide a basis for evaluation of Chenopodium utilization in a culture's subsistence patterns. With the aid of SEM, an analysis of Chenopodium remains from three Late Prehistoric sites in Northwest Iowa (Blood Run [Oneota culture], Brewster [Mill Creek culture], and Chan-Ya-Ta [Mill Creek culture]) has been conducted to: 1) attempt seed identification to a species level, 2) evaluate the traits of the seeds for classification as either wild or domesticated, and 3) evaluate the role of Chenopodium utilization in both the Oneota and Mill Creek cultures.


Religions ◽  
2021 ◽  
Vol 12 (8) ◽  
pp. 570
Author(s):  
James W. Watts

Leviticus 25:39–46 describes a two-tier model of slavery that distinguishes Israelites from foreign slaves. It requires that Israelites be indentured only temporarily while foreigners can be enslaved as chattel (permanent property). This model resembles the distinction between White indentured slaves and Black chattel slaves in the American colonies. However, the biblical influence on these early modern practices has been obscured by the rarity of citations of Lev. 25:39–46 in sixteenth- and seventeenth-century sources about slavery. This article reviews the history of slavery from ancient Middle Eastern antiquity through the seventeenth century to show the unique degree to which early modern institutions resembled the biblical model. It then exposes widespread knowledge of Leviticus 25 in early modern political and economic debates. Demonstrating this awareness shows with high probability that colonial cultures presupposed the two-tier model of slavery in Leviticus 25:39–46 to naturalize and justify their different treatment of White indentured slaves and Black chattel slaves.


Author(s):  
Piyawit Moonkham

Abstract There is a northern Thai story that tells how the naga—a mythical serpent—came and destroyed the town known as Yonok (c. thirteenth century) after its ruler became immoral. Despite this divine retribution, the people of the town chose to rebuild it. Many archaeological sites indicate resettlement during this early historical period. Although many temple sites were constructed in accordance with the Buddhist cosmology, the building patterns vary from location to location and illustrate what this paper calls ‘nonconventional patterns,’ distinct from Theravada Buddhist concepts. These nonconventional patterns of temples seem to have been widely practiced in many early historical settlements, e.g., Yonok (what is now Wiang Nong Lom). Many local written documents and practices today reflect the influence of the naga myth on building construction. This paper will demonstrate that local communities in the Chiang Saen basin not only believe in the naga myth but have also applied the myth as a tool to interact with the surrounding landscapes. The myth is seen as a crucial, communicated element used by the local people to modify and construct physical landscapes, meaning Theravada Buddhist cosmology alone cannot explain the nonconventional patterns. As such, comprehending the role of the naga myth enables us to understand how local people, past and present, have perceived the myth as a source of knowledge to convey their communal spaces within larger cosmological concepts in order to maintain local customs and legitimise their social space.


2021 ◽  
Vol 13 (7) ◽  
pp. 1237
Author(s):  
Nikos Papadopoulos

Geophysical prospecting methods have been extensively used to outline buried antiquities in terrestrial sites. Despite the frequent application of these mapping and imaging approaches for the detection of archaeological relics in deep-water marine environments (e.g., shipwrecks), the aforementioned processes have minimal contribution when it comes to understanding the dynamics of the past in coastal and shallow aquatic archaeological sites. This work explores the possibilities of multicomponent geophysical techniques in revealing antiquities that have been submerged in diverse shallow coastal marine environments in the eastern Mediterranean. A group of four sites in Greece (Agioi Theodoroi, Olous, Lambayanna) and Cyprus (Pafos) spanning from prehistory to Roman times were chosen as test sites to validate the efficiency of electrical resistivity tomography, magnetic gradiometry, and ground penetrating radar methods. The comprehensive analysis of the geophysical data completed the picture for the hidden archeological elements in all the sites. The results manifest the significance and the potential of these methods for documenting and understanding the complex archaeological sites encountered in the Mediterranean. In view of climate change and the risks related to future sea level rise and erosion of low-level coastal areas, the results of this work could be integrated in a strategic framework to develop an effective interdisciplinary research model that can be applied to similar shallow water archaeological surveys, thus substantially contributing towards cultural resources management.


Author(s):  
Ricardo Santana ◽  
Enrique Onieva ◽  
Robin Zuluaga ◽  
Aliuska Duardo-Sánchez ◽  
Piedad Gañán

Background: Machine Learning (ML) has experienced an increasing use given the possibilities to expand the scientific knowledge of different disciplines, such as nanotechnology. This has allowed the creation of Cheminformatic models, capable of predicting biological activity and physicochemical characteristics of new components with high success rates in training and test partitions. Given the current gaps of scientific knowledge and the need of efficient application of medicines products law, this paper analyzes the position of regulators for marketing medicinal nanoproducts in European Union and the role of ML in the authorization process. Methods: In terms of methodology, a dogmatic study of the European regulation and the guidances of the European Medicine Agency on the use of predictive models for nanomaterials was carried out. The study has, as the framework of reference, the European Regulation 726/2004 and has focused on the analysis of how ML processes are contemplated in the regulations. Results: As result, we present a discussion of the information that must be provided for every case for simulation methods. The results show a favorable and flexible position for the development of the use of predictive models to complement the applicant's information. Conclusion: It is concluded that Machine Learning has the capacity to help to improve the application of nanotechnology medicine products regulation. Future regulations should promote this kind of information given the advanced state of art in terms of algorithms that are able to build accurate predictive models. This especially applies to methods such as Perturbation Theory Machine Learning (PTML), given that it is aligned with principles promoted by the standards of Organization for Economic Co-operation and Development (OECD), European Union regulations and European Authority Medicine. To our best knowledge this is the first study focused on nanotechnology medicine products and machine learning use to support technical European public assessment report (EPAR) for complementary information.


2017 ◽  
Vol 26 (03) ◽  
pp. 1750029 ◽  
Author(s):  
Lina Jaya Diguna ◽  
Yudi Darma ◽  
Muhammad Danang Birowosuto

We investigate the influence of multiple excitons on the photon emission properties of a quantum dot (QD)-cavity system via the master equation for the density matrix. We show that in the intermediate to strong coupling regimes, the multiple excitons lead to the suppressed QD emissions as well as the absence of anti-crossing near zero detuning, arising from the interaction between the multiple excitons and cavity. Furthermore, we analyze the role of the cavity-biexciton detuning in the photon emission properties of cavity and exciton through the second-order correlation function. The small cavity-biexciton detuning yields the significant Purcell effect and the high probability of single photon emissions. The proposed model offers the fundamental approach in developing efficient single-photon emitting devices.


Sign in / Sign up

Export Citation Format

Share Document