‘Reform’ treatises and the inception of the Tudor conquest in mid-sixteenth-century Ireland, 1546–1565

Author(s):  
David Heffernan

The chapter begins in 1546 when a military incursion was launched by the Dublin government against the Irish lordships of the O’Mores and O’Connors in the Irish midlands of Laois and Offaly. I argue that this military venture was the first step in the Tudor conquest of Ireland. Eventually in the 1550s the plantation of this region was undertaken, thus initiating the general pattern whereby Ireland would be conquered and resettled down to the end of the seventeenth century. The chapter then goes on to examine the other major policy issues of the mid-Tudor period, specifically the growing threat posed to the Tudor state by Shane O’Neill’s ascendancy in Ulster and the incursion of Scottish settlers from the Outer Hebrides into the north-east of Ireland. Finally, consideration is given to the long viceregal administration of the third earl of Sussex and the criticism it drew from Irish officials in the late 1550s and early 1560s owing to its recourse to the ‘cess’ and other practices. Throughout the chapter how these issues arose in the treatises is discussed and the ideas put forward contextualised.

Zograf ◽  
2014 ◽  
pp. 153-163
Author(s):  
Dragan Vojvodic

In the katholikon of the monastery of Praskvica there are remains of two layers of post-Byzantine wall-painting: the earlier, from the third quarter of the sixteenth century, and later, from the first half of the seventeenth century, which is the conclusion based on stylistic analysis and technical features. The portions of frescoes belonging to one or the other layer can be clearly distinguished from one another and the content of the surviving representations read more thoroughly than before. It seems that the remains of wall-painting on what originally was the west facade of the church also belong to the earlier layer. It is possible that the church was not frescoed in the lifetime of its ktetor, Balsa III Balsic.


Sunnyside ◽  
2020 ◽  
pp. 122-145
Author(s):  
Laura Wright

This chapter considers the distribution and meaning of the 116 historic North British Sunnysides and 63 Greens given in the Sunnyside Gazetteer, and the distribution and structure of the Sunnyside of X and Greens of X construction. Sixteenth-century Medieval Latin Sunnysides are exerpted from the Records of the Sheriff Court of Aberdeenshire and the Register of the Great Seal of Scotland AD 1620-1633. The distribution when plotted forms three main groups: the first is the north-east of Scotland bounded by the Grampians, the second is the Central Lowlands, and the third is the border area of the Eastern Lowlands of Scotland and North-Eastern England divided by the Cheviots. The practice of ‘vesying the sunny side’ as a means of land-tenure division is described in North British and Nordic cultures. It is posited that the Sunnyside of X and Greens of X construction is Old Norse.


Author(s):  
Daniel R. Melamed

If there is a fundamental musical subject of Johann Sebastian Bach’s Mass in B Minor, a compositional problem the work explores, it is the tension between two styles cultivated in church music of Bach’s time. One style was modern and drew on up-to-date music such as the instrumental concerto and the opera aria. The other was old-fashioned and fundamentally vocal, borrowing and adapting the style of Giovanni Pierluigi da Palestrina, his sixteenth-century contemporaries, and his seventeenth-century imitators. The movements that make up Bach’s Mass can be read as exploring the entire spectrum of possibilities offered by these two styles (the modern and the antique), ranging from movements purely in one or the other to a dazzling variety of ways of combining the two. The work illustrates a fundamental opposition in early-eighteenth-century sacred music that Bach confronts and explores in the Mass.


1964 ◽  
Vol 44 (1) ◽  
pp. 1-8

Early in 1963 much of the land occupied by the Roman building at Fishbourne was purchased by Mr. I. D. Margary, M.A., F.S.A., and was given to the Sussex Archaeological Trust. The Fishbourne Committee of the trust was set up to administer the future of the site. The third season's excavation, carried out at the desire of this committee, was again organized by the Chichester Civic Society.1 About fifty volunteers a day were employed from 24th July to 3rd September. Excavation concentrated upon three main areas; the orchard south of the east wing excavated in 1962, the west end of the north wing, and the west wing. In addition, trial trenches were dug at the north-east and north-west extremities of the building and in the area to the north of the north wing. The work of supervision was carried out by Miss F. Pierce, M.A., Mr. B. Morley, Mr. A. B. Norton, B.A., and Mr. J. P. Wild, B.A. Photography was organized by Mr. D. B. Baker and Mrs. F. A. Cunliffe took charge of the pottery and finds.


1991 ◽  
Vol 71 ◽  
pp. 191-215 ◽  
Author(s):  
Svend Helms

Qaṣr Burqu⃓ is one of the most remote of the Jordanian so-called ‘desert castles’ (quṣūr) of the early Islamic period: it lies some 200km east of⃓Ammān (figs. 1–4). However, it is neither a castle, nor is it in the desert, rather it represents a variety of building types and lies in the dry steppe (areas receiving less than 100mm of rainfall per annum) of the bādiyat al-šām (literally, the steppe lands of Damascus). Furthermore, most of the architectural elements are not necessarily attributable to the early Islamic period, namely the Umayyad Caliphate of the seventh and eighth centuries, despite a ‘building’ inscription (E4: see below, pp. 206–7) of Walīd b. ‘Abd’l-Malik (Caliph AD 705–15), dated AD 700 (H. 81). Rather, the various architectural entities at the site, and their use, span the time from about the third-fourth (probably a little later) to the eighth centuries AD. This time range and the Qaṣr's remote location are significant in relation to the political and economic history of the Near East, particularly in regard of nomad-state relations across the verdant-steppic interface. The time range of the various constructions includes the period following the dissolution of the limes arabicus which had been extensively refurbished and augmented under Diocletian and later under Justinian in the third and sixth centuries AD. Many of the more remote erstwhile fortlets, forts and legionary fortresses were colonized by villagers and nomads, as well as monks and pious hermits. Between the fourth and sixth centuries (particularly in the sixth century under the Ghassānids), purpose-built monasteries and ‘residences’ for hermits were established throughout greater Syria, some of them far out in the steppe. The military station at Nemāras about 80km to the north-east of Qaṣr Burqu⃓, for example, may have become one of several centres, functioning as a παƍεμβολή νομάδον of the Lakhmids in the region, under the leadership of Imru'l-Qays who was called ‘king of the Arabs’ and who was buried there in AD 328. Places like Qaṣr Burqu⃓ and Deir al-Kinn, on the other hand, may have been founded or re-established as monasteries.


2016 ◽  
Vol 61 (S24) ◽  
pp. 93-114 ◽  
Author(s):  
Rossana Barragán Romano

AbstractLabour relations in the silver mines of Potosí are almost synonymous with the mita, a system of unfree work that lasted from the end of the sixteenth century until the beginning of the nineteenth century. However, behind this continuity there were important changes, but also other forms of work, both free and self-employed. The analysis here is focused on how the “polity” contributed to shape labour relations, especially from the end of the seventeenth century and throughout the eighteenth century. This article scrutinizes the labour policies of the Spanish monarchy on the one hand, which favoured certain economic sectors and regions to ensure revenue, and on the other the initiatives both of mine entrepreneurs and workers – unfree, free, and self-employed – who all contributed to changing the system of labour.


2000 ◽  
Vol 22 (2) ◽  
pp. 93 ◽  
Author(s):  
KN Armstrong ◽  
SD Anstee

This paper summarises the roost habitat and distribution of the ghost bat, Macroderma gigas (Dobson, 1880), in the Pilbara region of Western Australia, with particular emphasis on natural habitats. The preferred habitat of M. gigas in the Hamersley Ranges appears to be caves beneath bluffs of low rounded hills composed of Marra Mamba geology. Habitats were also found in the larger hills of Brockman Iron Formation in the Hamersley Range, and other formations beneath bluffs composed of Gorge Creek Group geology to the north east. Granite rockpiles are also used in the eastern Pilbara. A summary of Pilbara records from numerous sources is presented, including anecdotal accounts and other new records. This includes a newly discovered maternity site from the Hamersley Ranges, only the third reported from natural cave formations in the region. Threats to M. gigas in the region are highlighted and include disturbances associated with mining and entanglement in barbed wire fences.


Author(s):  
Cristina I. Tica

The author seeks to contribute to the field of frontier studies with bioarchaeological data, in the hopes of understanding how living in relative proximity, but under different sociopolitical organizations, may affect health. The goal of this research is to examine differences in overall health between two groups that have been characterized in the literature as “Romans” and “barbarians.” The research uses skeletal remains to address how the daily life of people under Roman-Byzantine control compared to that of their neighbors, the “barbarians” to the north. Comparing two contemporaneous populations from the territory of modern Romania—and dating from the third to the sixth centuries CE—the study examines health status and traumatic injuries. One collection comes from the territory under Roman-Byzantine control, the site of Ibida (Slava Rusă) from the Roman province of Scythia Minor, and the other originates from the Târgşor site, located to the north of the Danube frontier, in what was considered the “barbaricum.” Separated by a definite frontier, the Danube River, meant to (at least ideologically) segregate them to their divided worlds, these populations might have been more interconnected than the carefully promulgated imperial doctrine would have us believe.


Author(s):  
Jan Terje Faarlund

The chapter has three parts. The first part is an introduction to the Mainland Scandinavian languages, with a brief sketch of their history, their relationship to the other Scandinavian languages, and their position among the North Germanic languages. Mainland Scandinavian is treated as one language, since it consists of a continuum of mutually intelligible dialects across Scandinavia. The second part is a presentation of the sources and the origin of the examples used in the book. They are taken from various sources, reference grammars, research literature, the internet, text corpora, and original research. The third part is a presentation of the theoretical background and the descriptive framework, which is generative grammar in its current version, known as ‘minimalism’.


1971 ◽  
Vol 11 (2) ◽  
pp. 87-116 ◽  
Author(s):  
Christopher Clay

The Lords Petre were always one of the most prominent of English Catholic families, and they were also one of the richest. Their landed estates had been built up in the middle of the sixteenth century by Sir William Petre, Secretary of State to three Tudor sovereigns. Sir William's son, John, was created a Baron in 1611, but in the early 17th century the family properties ceased to grow in size, partly because Catholicism excluded them from the profits of office, and partly because provision for younger sons offset such new acquisitions as were made. But even so the estates inherited by the third Lord Petre in 1637 were large enough to place him clearly in the ranks of the great landed magnates. In Essex he had a well-consolidated belt of land lying to the west and south-west of Chelmsford, and centred on the two family residences of Ingatestone Hall and Thorndon Hall. Altogether in Essex Petre had about 11,000 acres of freehold land and the lordship of seventeen manors, and these produced some £5,500 per annum or considerably more than half his total income from land. In addition he had a large estate on the opposite side of the country, in Devon. This lay in two distinct areas, one centred on Axminster and extending down the Axe valley and its tributaries, and the other in the southerly projection of the county on the southern edge of Dartmoor, where the principal possession was the vast moorland manor of South Brent. Besides the main estates in Essex and Devon, there were some isolated properties: the manor of Osmington down on the Dorset coast; Toddenham and Sutton in Gloucestershire; Kennett and Kentford on the Cambridgeshire-Suffolk border.


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