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American (word)
eng_Latn
The meaning of the word American in the English language varies according to the historical, geographical, and political context in which it is used. American is derived from America, a term originally denoting all of the Americas (also called the Western Hemisphere). In some expressions, it retains this Pan-American sense, but its usage has evolved over time and, for various historical reasons, the word came to denote people or things specifically from the United States of America. In modern English, American generally refers to persons or things related to the United States of America; among native English speakers this usage is almost universal, with any other use of the term requiring specification. However, some linguists in the past have argued that "American" should be widened to also include people or things from anywhere in the American continents. The word can be used as either an adjective or a noun (viz. a demonym). In adjectival use, it means "of or relating to the United States"; for example, "Elvis Presley was an American singer" or "the man prefers American English". In its noun form, the word generally means a resident or citizen of the US, but is also used for someone whose ethnic identity is simply "American". The noun is rarely used in English to refer to people not connected to the United States when intending a geographical meaning. When used with a grammatical qualifier, the adjective American can mean "of or relating to the Americas", as in Latin American or Indigenous American. Less frequently, the adjective can take this meaning without a qualifier, as in "American Spanish dialects and pronunciation differ by country", or the name of the Organization of American States. A third use of the term pertains specifically to the indigenous peoples of the Americas, for instance, "In the 16th century, many Americans died from imported diseases during the European conquest", though this usage is rare, as "indigenous", "First Nations" or "Amerindian" are considered less confusing and generally more appropriate. Compound constructions which indicate a minority ethnic group, such as "African-Americans" likewise refer exclusively to people in or from the United States of America, as does the prefix "Americo-". For instance, the Americo-Liberians and their language Merico derive their name from the fact that they are descended from African-American settlers, i.e. Blacks who were formerly enslaved in the United States of America. Other languages French, German, Italian, Japanese, Hebrew, Arabic, and Russian speakers may use cognates of American to refer to inhabitants of the Americas or to U.S. nationals. They generally have other terms specific to U.S. nationals, such as the German , French , Japanese , and Italian . These specific terms may be less common than the term American. In French, , or , from ("United States of America"), is a rarely used word that distinguishes U.S. things and persons from the adjective , which denotes persons and things from the United States, but may also refer to "the Americas". Likewise, German's use of and observe said cultural distinction, solely denoting U.S. things and people. Note that in normal parlance, the adjective "American" and its direct cognates are usually used if the context renders the nationality of the person clear. This differentiation is prevalent in German-speaking countries, as indicated by the style manual of the Neue Zürcher Zeitung (one of the leading German-language newspapers in Switzerland) which dismisses the term as both ′unnecessary′ and ′artificial′ and recommends replacing it with amerikanisch. The respective guidelines of the foreign ministries of Austria, Germany and Switzerland all prescribe Amerikaner and amerikanisch in reference to the United States for official usage, making no mention of or . Portuguese has , denoting both a person or thing from the Americas and a U.S. national. For referring specifically to a U.S. national and things, some words used are (also spelled , "United States person"), from , and ("Yankee")—both usages exist in Brazil, but are uncommon in Portugal—but the term most often used, and the only one in Portugal, is , even though it could, as with its Spanish equivalent, apply to Canadians and Mexicans as well. In Spanish, denotes geographic and cultural origin in the New World, as well as (infrequently) a U.S. citizen; the more common term is ("United States person"), which derives from ("United States of America"). The Spanish term ("North American") is frequently used to refer things and persons from the United States, but this term can also denote people and things from Canada and Mexico. Among Spanish-speakers, North America generally doesn't include Central America or the Caribbean. In other languages, however, there is no possibility for confusion. For example, the Chinese word for "U.S. national" is () is derived from a word for the United States, , where is an abbreviation for Yàměilìjiā ("America") and is "country". The name for the American continents is , from plus ("continent"). Thus, a is an American in the continent sense, and a is an American in the U.S. sense. Conversely, in Czech, there is no possibility for disambiguation. Američan (m.) and američanka (f.) can refer to persons from the United States or from the continents of the Americas, and there is no specific word capable of distinguishing the two meanings. For this reason, the latter meaning is very rarely used, and word is used almost exclusively to refer to persons from the United States. The usage is exactly parallel to the English word. Korean and Vietnamese also use unambiguous terms, with Korean having () for the country versus () for the continents, and Vietnamese having for the country versus for the continents. Japanese has such terms as well ( [ versus []), but they are found more in newspaper headlines than in speech, where predominates. In Swahili, means specifically the United States, and is a U.S. national, whereas the international form refers to the continents, and would be an inhabitant thereof. Likewise, the Esperanto word refers to the continents. For the country there is the term . Thus, a citizen of the United States is an , whereas an is an inhabitant of the Americas. History The name America was coined by Martin Waldseemüller from Americus Vespucius, the Latinized version of the name of Amerigo Vespucci (1454–1512), the Italian explorer who mapped South America's east coast and the Caribbean Sea in the early 16th century. Later, Vespucci's published letters were the basis of Waldseemüller's 1507 map, which is the first usage of America. The adjective American subsequently denoted the New World. 16th-century European usage of American denoted the native inhabitants of the New World. The earliest recorded use of this term in English is in Thomas Hacket's 1568 translation of André Thévet's book France Antarctique; Thévet himself had referred to the natives as Ameriques. In the following century, the term was extended to European settlers and their descendants in the Americas. The earliest recorded use of "English-American" dates to 1648, in Thomas Gage's The English-American his travail by sea and land: or, a new survey of the West India's. In English, American was used especially for people in British America. Samuel Johnson, the leading English lexicographer, wrote in 1775, before the United States declared independence: "That the Americans are able to bear taxation is indubitable." The Declaration of Independence of July 1776 refers to "[the] unanimous Declaration of the thirteen United States of America" adopted by the "Representatives of the United States of America" on July 4, 1776. The official name of the country was reaffirmed on November 15, 1777, when the Second Continental Congress adopted the Articles of Confederation, the first of which says, "The Stile of this Confederacy shall be 'The United States of America'". The Articles further state: Thomas Jefferson, newly elected president in May 1801 wrote, "I am sure the measures I mean to pursue are such as would in their nature be approved by every American who can emerge from preconceived prejudices; as for those who cannot, we must take care of them as of the sick in our hospitals. The medicine of time and fact may cure some of them." In The Federalist Papers (1787–88), Alexander Hamilton and James Madison used the adjective American with two different meanings: one political and one geographic; "the American republic" in Federalist No. 51 and in Federalist No. 70, and, in Federalist No. 24, Hamilton used American to denote the lands beyond the U.S.'s political borders. Early official U.S. documents show inconsistent usage; the 1778 Treaty of Alliance with France used "the United States of North America" in the first sentence, then "the said United States" afterwards; "the United States of America" and "the United States of North America" derive from "the United Colonies of America" and "the United Colonies of North America". The Treaty of Peace and Amity of September 5, 1795, between the United States and the Barbary States contains the usages "the United States of North America", "citizens of the United States", and "American Citizens". U.S. President George Washington, in his 1796 Farewell Address, declaimed that "The name of American, which belongs to you in your national capacity, must always exalt the just pride of patriotism more than any appellation." Political scientist Virginia L. Arbery notes that, in his Farewell Address: "...Washington invites his fellow citizens to view themselves now as Americans who, out of their love for the truth of liberty, have replaced their maiden names (Virginians, South Carolinians, New Yorkers, etc.) with that of “American”. Get rid of, he urges, “any appellation derived from local discriminations.” By defining himself as an American rather than as a Virginian, Washington set the national standard for all citizens. "Over and over, Washington said that America must be something set apart. As he put it to Patrick Henry, 'In a word, I want an American character, that the powers of Europe may be convinced we act for ourselves and not for others.'" As the historian Garry Wills has noted: "This was a theme dear to Washington. He wrote to Timothy Pickering that the nation 'must never forget that we are Americans; the remembrance of which will convince us we ought not to be French or English'." Washington's countrymen subsequently embraced his exhortation with notable enthusiasm. This semantic divergence among North American anglophones, however, remained largely unknown in the Spanish-American colonies. In 1801, the document titled Letter to American Spaniards—published in French (1799), in Spanish (1801), and in English (1808)—might have influenced Venezuela's Act of Independence and its 1811 constitution. The Latter-day Saints' Articles of Faith refer to the American continents as where they are to build Zion. Common short forms and abbreviations are the United States, the U.S., the U.S.A., and America; colloquial versions include the U.S. of A. and the States. The term Columbia (from the Columbus surname) was a popular name for the U.S. and for the entire geographic Americas; its usage is present today in the District of Columbia's name. Moreover, the womanly personification of Columbia appears in some official documents, including editions of the U.S. dollar. Usage at the United Nations Use of the term American for U.S. nationals is common at the United Nations, and financial markets in the United States are referred to as "American financial markets". American Samoa is a recognized territorial name at the United Nations. Cultural views Spain and Hispanic America The use of American as a national demonym for U.S. nationals is challenged, primarily by Hispanic Americans. Spanish speakers in Spain and Latin America use the term to refer to people and things from the United States (from ), while refers to the continents as a whole. The term is also accepted in many parts of Latin America to refer to a person or something from the United States; however, this term may be ambiguous in certain parts. Up to and including the 1992 edition, the , published by the Real Academia Española, did not include the United States definition in the entry for ; this was added in the 2001 edition. The Real Academia Española advised against using exclusively for U.S. nationals: Canada Modern Canadians typically refer to people from the United States as Americans, though they seldom refer to the United States as America; they use the terms the United States, the U.S., or (informally) the States instead. Rarely applying the term American to themselves, some Canadians resent being referred to as Americans or mistaken for U.S. citizens. This is often due to others' inability, particularly overseas, to distinguish Canadians from Americans, by their accent or other cultural attributes. Some Canadians have protested the use of American as a national demonym. People of U.S. ethnic origin in Canada are categorized as "Other North American origins" by Statistics Canada for purposes of census counts. Portugal and Brazil Generally, denotes "U.S. citizen" in Portugal. Usage of to exclusively denote people and things of the U.S. is discouraged by the Lisbon Academy of Sciences, because the specific word (also ) clearly denotes a person from the United States. The term currently used by the Portuguese press is . In Brazil, the term is used to address both that which pertains to both American continents and, in current speech, that which pertains to the U.S.; the particular meaning is deduced from context. Alternatively, the term ("North American") is also used in more informal contexts, while (of the U.S.) is the preferred form in academia. Use of the three terms is common in schools, government, and media. The term is used almost exclusively for the whole continent, and the U.S. is called ("United States") or ("United States of America"), often abbreviated . The Getting Through Customs website advises business travelers not to use "in America" as a U.S. reference when conducting business in Brazil. In other contexts "American" in the 1994 Associated Press Stylebook was defined as, "An acceptable description for a resident of the United States. It also may be applied to any resident or citizen of nations in North or South America." Elsewhere, the AP Stylebook indicates that "United States" must "be spelled out when used as a noun. Use U.S. (no space) only as an adjective." The entry for "America" in The New York Times Manual of Style and Usage from 1999 reads: Media releases from the Pope and Holy See frequently use "America" to refer to the United States, and "American" to denote something or someone from the United States. International law At least one international law uses U.S. citizen in defining a citizen of the United States rather than American citizen; for example, the English version of the North American Free Trade Agreement includes: Many international treaties use the terms American and American citizen: 1796 – The treaty between the United States and the Dey of the Regency of Algiers on March 7, 1796, protected "American citizens". 1806 – The Louisiana Purchase Treaty between France and United States referred to "American citizens". 1825 – The treaty between the United States and the Cheyenne tribe refers to "American citizen"s. 1848 – The Treaty of Guadalupe Hidalgo between Mexico and the U.S. uses "American Government" to refer to the United States, and "American tribunals" to refer to U.S. courts. 1858 – The Treaty of Amity and Commerce between the United States and Japan protected "American citizens" and also used "American" in other contexts. 1898 – The Treaty of Paris ending the Spanish–American War, known in Spanish as the ("Spain–United States War") uses "American" in reference to United States troops. 1966 – The United States–Thailand Treaty of Amity protects "Americans" and "American corporations". U.S. commercial regulation Products that are labeled, advertised, and marketed in the U.S. as "Made in the USA" must be, as set by the Federal Trade Commission (FTC), "all or virtually all made in the U.S." The FTC, to prevent deception of customers and unfair competition, considers an unqualified claim of "American Made" to expressly claim exclusive manufacture in the U.S: "The FTC Act gives the Commission the power to bring law enforcement actions against false or misleading claims that a product is of U.S. origin." Alternatives There are a number of alternatives to the demonym American as a citizen of the United States that do not simultaneously mean any inhabitant of the Americas. One uncommon alternative is Usonian, which usually describes a certain style of residential architecture designed by Frank Lloyd Wright. Other alternatives have also surfaced, but most have fallen into disuse and obscurity. Merriam-Webster's Dictionary of English Usage says: Nevertheless, no alternative to American is common. See also Americans Hyphenated Americans Americas (terminology) Names of the United States Names for United States citizens Naming of the Americas Totum pro parte Notes References Works cited External links American culture English words Geographical naming disputes Definitions
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Analytical Engine
eng_Latn
The Analytical Engine was a proposed mechanical general-purpose computer designed by English mathematician and computer pioneer Charles Babbage. It was first described in 1837 as the successor to Babbage's difference engine, which was a design for a simpler mechanical calculator. The Analytical Engine incorporated an arithmetic logic unit, control flow in the form of conditional branching and loops, and integrated memory, making it the first design for a general-purpose computer that could be described in modern terms as Turing-complete. In other words, the logical structure of the Analytical Engine was essentially the same as that which has dominated computer design in the electronic era. The Analytical Engine is one of the most successful achievements of Charles Babbage. Babbage was never able to complete construction of any of his machines due to conflicts with his chief engineer and inadequate funding. It was not until 1941 that Konrad Zuse built the first general-purpose computer, Z3, more than a century after Babbage had proposed the pioneering Analytical Engine in 1837. Design Babbage's first attempt at a mechanical computing device, the Difference Engine, was a special-purpose machine designed to tabulate logarithms and trigonometric functions by evaluating finite differences to create approximating polynomials. Construction of this machine was never completed; Babbage had conflicts with his chief engineer, Joseph Clement, and ultimately the British government withdrew its funding for the project. During this project, Babbage realised that a much more general design, the Analytical Engine, was possible. The work on the design of the Analytical Engine started in c. 1833. The input, consisting of programs ("formulae") and data, was to be provided to the machine via punched cards, a method being used at the time to direct mechanical looms such as the Jacquard loom. For output, the machine would have a printer, a curve plotter, and a bell. The machine would also be able to punch numbers onto cards to be read in later. It employed ordinary base-10 fixed-point arithmetic. There was to be a store (that is, a memory) capable of holding 1,000 numbers of 40 decimal digits each (ca. 16.6 kB). An arithmetic unit (the "mill") would be able to perform all four arithmetic operations, plus comparisons and optionally square roots. Initially (1838) it was conceived as a difference engine curved back upon itself, in a generally circular layout, with the long store exiting off to one side. Later drawings (1858) depict a regularised grid layout. Like the central processing unit (CPU) in a modern computer, the mill would rely upon its own internal procedures, to be stored in the form of pegs inserted into rotating drums called "barrels", to carry out some of the more complex instructions the user's program might specify. The programming language to be employed by users was akin to modern day assembly languages. Loops and conditional branching were possible, and so the language as conceived would have been Turing-complete as later defined by Alan Turing. Three different types of punch cards were used: one for arithmetical operations, one for numerical constants, and one for load and store operations, transferring numbers from the store to the arithmetical unit or back. There were three separate readers for the three types of cards. Babbage developed some two dozen programs for the Analytical Engine between 1837 and 1840, and one program later. These programs treat polynomials, iterative formulas, Gaussian elimination, and Bernoulli numbers. In 1842, the Italian mathematician Luigi Federico Menabrea published a description of the engine in French, based on lectures Babbage gave when he visited Turin in 1840. In 1843, the description was translated into English and extensively annotated by Ada Lovelace, who had become interested in the engine eight years earlier. In recognition of her additions to Menabrea's paper, which included a way to calculate Bernoulli numbers using the machine (widely considered to be the first complete computer program), she has been described as the first computer programmer. Construction Late in his life, Babbage sought ways to build a simplified version of the machine, and assembled a small part of it before his death in 1871. In 1878, a committee of the British Association for the Advancement of Science described the Analytical Engine as "a marvel of mechanical ingenuity", but recommended against constructing it. The committee acknowledged the usefulness and value of the machine, but could not estimate the cost of building it, and were unsure whether the machine would function correctly after being built. Intermittently from 1880 to 1910, Babbage's son Henry Prevost Babbage was constructing a part of the mill and the printing apparatus. In 1910, it was able to calculate a (faulty) list of multiples of pi. This constituted only a small part of the whole engine; it was not programmable and had no storage. (Popular images of this section have sometimes been mislabelled, implying that it was the entire mill or even the entire engine.) Henry Babbage's "Analytical Engine Mill" is on display at the Science Museum in London. Henry also proposed building a demonstration version of the full engine, with a smaller storage capacity: "perhaps for a first machine ten (columns) would do, with fifteen wheels in each". Such a version could manipulate 20 numbers of 25 digits each, and what it could be told to do with those numbers could still be impressive. "It is only a question of cards and time", wrote Henry Babbage in 1888, "... and there is no reason why (twenty thousand) cards should not be used if necessary, in an Analytical Engine for the purposes of the mathematician". In 1991, the London Science Museum built a complete and working specimen of Babbage's Difference Engine No. 2, a design that incorporated refinements Babbage discovered during the development of the Analytical Engine. This machine was built using materials and engineering tolerances that would have been available to Babbage, quelling the suggestion that Babbage's designs could not have been produced using the manufacturing technology of his time. In October 2010, John Graham-Cumming started a "Plan 28" campaign to raise funds by "public subscription" to enable serious historical and academic study of Babbage's plans, with a view to then build and test a fully working virtual design which will then in turn enable construction of the physical Analytical Engine. As of May 2016, actual construction had not been attempted, since no consistent understanding could yet be obtained from Babbage's original design drawings. In particular it was unclear whether it could handle the indexed variables which were required for Lovelace's Bernoulli program. By 2017, the "Plan 28" effort reported that a searchable database of all catalogued material was available, and an initial review of Babbage's voluminous Scribbling Books had been completed. Many of Babbage's original drawings have been digitized and are publicly available online. Instruction set Babbage is not known to have written down an explicit set of instructions for the engine in the manner of a modern processor manual. Instead he showed his programs as lists of states during their execution, showing what operator was run at each step with little indication of how the control flow would be guided. Allan G. Bromley has assumed that the card deck could be read in forwards and backwards directions as a function of conditional branching after testing for conditions, which would make the engine Turing-complete: ...the cards could be ordered to move forward and reverse (and hence to loop)... The introduction for the first time, in 1845, of user operations for a variety of service functions including, most importantly, an effective system for user control of looping in user programs. There is no indication how the direction of turning of the operation and variable cards is specified. In the absence of other evidence I have had to adopt the minimal default assumption that both the operation and variable cards can only be turned backward as is necessary to implement the loops used in Babbage's sample programs. There would be no mechanical or microprogramming difficulty in placing the direction of motion under the control of the user. In their emulator of the engine, Fourmilab say: The Engine's Card Reader is not constrained to simply process the cards in a chain one after another from start to finish. It can, in addition, directed by the very cards it reads and advised by whether the Mill's run-up lever is activated, either advance the card chain forward, skipping the intervening cards, or backward, causing previously-read cards to be processed once again. This emulator does provide a written symbolic instruction set, though this has been constructed by its authors rather than based on Babbage's original works. For example, a factorial program would be written as: N0 6 N1 1 N2 1 × L1 L0 S1 – L0 L2 S0 L2 L0 CB?11 where the CB is the conditional branch instruction or "combination card" used to make the control flow jump, in this case backward by 11 cards. Influence Predicted influence Babbage understood that the existence of an automatic computer would kindle interest in the field now known as algorithmic efficiency, writing in his Passages from the Life of a Philosopher, "As soon as an Analytical Engine exists, it will necessarily guide the future course of the science. Whenever any result is sought by its aid, the question will then arise—By what course of calculation can these results be arrived at by the machine in the shortest time?" Computer science From 1872 Henry continued diligently with his father's work and then intermittently in retirement in 1875. Percy Ludgate wrote about the engine in 1914 and published his own design for an Analytical Engine in 1908. It was drawn up in detail, but never built, and the drawings have never been found. Ludgate's engine would be much smaller (about ) than Babbage's, and hypothetically would be capable of multiplying two 20-decimal-digit numbers in about six seconds. In his Essays on Automatics (1913) Leonardo Torres y Quevedo designed a Babbage type of calculating machine that used electromechanical parts which included floating point number representations and built an early prototype in 1920. Vannevar Bush's paper Instrumental Analysis (1936) included several references to Babbage's work. In the same year he started the Rapid Arithmetical Machine project to investigate the problems of constructing an electronic digital computer. Despite this groundwork, Babbage's work fell into historical obscurity, and the Analytical Engine was unknown to builders of electromechanical and electronic computing machines in the 1930s and 1940s when they began their work, resulting in the need to re-invent many of the architectural innovations Babbage had proposed. Howard Aiken, who built the quickly-obsoleted electromechanical calculator, the Harvard Mark I, between 1937 and 1945, praised Babbage's work likely as a way of enhancing his own stature, but knew nothing of the Analytical Engine's architecture during the construction of the Mark I, and considered his visit to the constructed portion of the Analytical Engine "the greatest disappointment of my life". The Mark I showed no influence from the Analytical Engine and lacked the Analytical Engine's most prescient architectural feature, conditional branching. J. Presper Eckert and John W. Mauchly similarly were not aware of the details of Babbage's Analytical Engine work prior to the completion of their design for the first electronic general-purpose computer, the ENIAC. Comparison to other early computers If the Analytical Engine had been built, it would have been digital, programmable and Turing-complete. It would, however, have been very slow. Luigi Federico Menabrea reported in Sketch of the Analytical Engine: "Mr. Babbage believes he can, by his engine, form the product of two numbers, each containing twenty figures, in three minutes". By comparison the Harvard Mark I could perform the same task in just six seconds. A modern PC can do the same thing in well under a billionth of a second. In popular culture The cyberpunk novelists William Gibson and Bruce Sterling co-authored a steampunk novel of alternative history titled The Difference Engine in which Babbage's difference and Analytical Engines became available to Victorian society. The novel explores the consequences and implications of the early introduction of computational technology. Moriarty by Modem, a short story by Jack Nimersheim, describes an alternative history where Babbage's Analytical Engine was indeed completed and had been deemed highly classified by the British government. The characters of Sherlock Holmes and Moriarty had in reality been a set of prototype programs written for the Analytical Engine. This short story follows Holmes as his program is implemented on modern computers and he is forced to compete against his nemesis yet again in the modern counterparts of Babbage's Analytical Engine. A similar setting is used by Sydney Padua in the webcomic The Thrilling Adventures of Lovelace and Babbage. It features an alternative history where Ada Lovelace and Babbage have built the Analytical Engine and use it to fight crime at Queen Victoria's request. The comic is based on thorough research on the biographies of and correspondence between Babbage and Lovelace, which is then twisted for humorous effect. The Orion's Arm online project features the Machina Babbagenseii, fully sentient Babbage-inspired mechanical computers. Each is the size of a large asteroid, only capable surviving in microgravity conditions, and processes data at 0.5% the speed of a human brain. References Bibliography External links The Babbage Papers, Science Museum archive The Analytical Engine at Fourmilab, includes historical documents and online simulations Image of a later Plan of Analytical Engine with grid layout (1858) First working Babbage "barrel" actually assembled, circa 2005 Special issue, IEEE Annals of the History of Computing, Volume 22, Number 4, October–December 2000 Babbage, Science Museum, London Plan 28: Building Charles Babbage's Analytical Engine Charles Babbage Computer-related introductions in 1837 English inventions Mechanical calculators Mechanical computers One-of-a-kind computers
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ATP
eng_Latn
ATP may refer to: Companies and organizations Association of Tennis Professionals American Technical Publishers , a Danish pension Armenia Tree Project Association for Transpersonal Psychology ATP architects engineers office ATP Oil and Gas, Texas, US Entertainment, arts and media Adenosine Tri-Phosphate (band), Japan All Tomorrow's Parties (festival),UK organisation ATP Recordings, record label Alberta Theatre Projects, Canada Associated Talking Pictures, 1930s, later Ealing Studios Science, technology and biology Adenosine triphosphate, an organic chemical used for driving biological processes Advanced Technology Program, US Anti-tachycardia pacing, process similar to a pacemaker Alberta Taciuk process, for extracting oil from shale, etc. Automated theorem proving, method of proving mathematical theorems by computer programs Transport BAe ATP aircraft Airline Transport Pilot License, U.S. ATP Flight School, US ATP (treaty) on transport of perishable food Aitape Airport, Papua New Guinea, IATA code Automatic train protection systems Automatic Train Protection (United Kingdom) British Rail's implementation of ATP Other uses Available-to-promise, responding to customer order enquiries
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Unit of alcohol
eng_Latn
Units of alcohol are used in the United Kingdom (UK) as a measure to quantify the actual alcoholic content within a given volume of an alcoholic beverage, in order to provide guidance on total alcohol consumption. A number of other countries (including Australia, Canada, New Zealand, and the US) use the concept of a standard drink, the definition of which varies from country to country, for the same purpose. Standard drinks were referred to in the first UK guidelines (1984) that published "safe limits" for drinking, but these were replaced by references to "alcohol units" in the 1987 guidelines and the latter term has been used in all subsequent UK guidance. One unit of alcohol (UK) is defined as 10 millilitres (8 grams) of pure alcohol. Typical drinks (i.e., typical quantities or servings of common alcoholic drinks) may contain 1–3 units of alcohol. Containers of alcoholic drinks sold directly to UK consumers are normally labelled to indicate the number of units of alcohol in a typical serving (optional) and in the full container (can or bottle), as well as information about responsible drinking. As an approximate guideline, a typical healthy adult can metabolise (break down) about one unit of alcohol per hour, although this may vary depending on sex, age, weight, health and many other factors. Formula The number of UK units of alcohol in a drink can be determined by multiplying the volume of the drink (in millilitres) by its percentage ABV, and dividing by 1000. For example, one imperial pint (568 ml) of beer at 4% alcohol by volume (ABV) contains: The formula uses . This results in exactly one unit per percentage point per litre, of any alcoholic beverage. The formula can be simplified for everyday use by expressing the serving size in centilitres and the alcohol content literally as a percentage: Thus, a 750 ml bottle of wine at 12% ABV contains 75 cl × 12% = 9 units. Alternatively, the serving size in litres multiplied by the alcohol content as a number, the above example giving 0.75 × 12 = 9 units: Both pieces of input data are usually mentioned in this form on the bottle, so is easy to retrieve. Labelling UK alcohol companies pledged in March 2011 to implement an innovative health labelling scheme to provide more information about responsible drinking on alcohol labels and containers. This voluntary scheme is the first of its kind in Europe and has been developed in conjunction with the UK Department of Health. The pledge stated: "We will ensure that over 80% of products on shelf (by December 2013) will have labels with clear unit content, NHS guidelines and a warning about drinking when pregnant." At the end of 2014, 101 companies had committed to the pledge labelling scheme. There are five elements included within the overall labelling scheme, the first three being mandatory, and the last two optional: Unit alcohol content per container (mandatory), and per serving (optional) Chief Medical Officer's daily guidelines for lower-risk consumption Pregnancy warning (in text or as a graphic) Mention of "drinkaware.co.uk" (optional) Responsibility statement (e.g., "please drink responsibly") (optional) Further detailed specifications about the labelling scheme are available from the "Alcohol labelling tool kit". Drinks companies had pledged to display the three mandatory items on 80% of drinks containers on shelves in the UK off-trade by the end of December 2013. A report published in November 2014, confirmed that UK drinks producers had delivered on that pledge with a 79.3% compliance with the pledge elements as measured by products on shelf. Compared with labels from 2008 on a like-for-like basis, information on Unit alcohol content had increased by 46%; 91% of products displayed alcohol and pregnancy warnings (18% in 2008); and 75% showed the Chief Medical Officers' lower risk daily guidelines (6% in 2008). Quantities It is sometimes misleadingly stated that there is one unit per half-pint of beer, or small glass of wine, or single measure of spirits. However, such statements do not take into account the various strengths and volumes supplied in practice. For example, the ABV of beer typically varies from 3.5% to 5.5%. A typical "medium" glass of wine with 175 ml at 12% ABV has 2.1 units. And spirits, although typically 35–40% ABV, have single measures of 25 ml or 35 ml (so 1 or 1.4 units) depending on location. The misleading nature of "one unit per half-pint of beer, or small glass of wine, or single measure of spirits" can lead to people underestimating their alcohol intake. Beers Half an imperial pint (284 ml) of beer with 3.5% ABV contains almost exactly one unit; however, most beers are stronger. In pubs in the United Kingdom, beers generally range from 3.5 to 5.5% ABV, and continental lagers start at around 4% ABV. An imperial pint of such lager (e.g., 568 ml at 5.2%) contains almost 3 units of alcohol rather than the oft-quoted 2 units. Stronger beer (6–12%) may contain 2 units or more per half pint (imperial). A half-litre (500 ml) of standard lager or ale (5%) contains 2.5 units. One litre (1000 ml) of typical Oktoberfest beer (5.5–6%) contains 5.5–6 units of alcohol. A beer bottle is typically 333-355ml, approximately 1.7 units at 5%. Wines A medium glass (175 ml) of 12% ABV wine contains around two units of alcohol. However, British pubs and restaurants often supply larger quantities (large glass ≈ 250 ml), which contain 3 units. Red wines often have a higher alcohol content (on average 12.5%, sometimes up to 16%). Wine sold by the glass is often served in nearly full glasses. Wine served at home, or when bought by the bottle in, say, a restaurant, is usually served in glasses less than half filled; the capacity of a wine glass is not the only criterion for judging quantity. A 750 ml bottle of 12% ABV wine contains 9 units; 16% ABV wine contains 12 units; a fortified wine such as port at 20% ABV contains 15 units. Fortified wines A small glass (50 ml) of sherry, fortified wine, or cream liqueur (≈20% ABV) contains about one unit. Spirits Most spirits sold in the United Kingdom have 40% ABV or slightly less. In England, a single pub measure (25 ml) of a spirit contains one unit. However, a larger 35 ml measure is increasingly used (and in particular is standard in Northern Ireland), which contains 1.4 units of alcohol at 40% ABV. Sellers of spirits by the glass must state the capacity of their standard measure in ml. Alcopops According to Alcohol and You Northern Ireland resource website, "Most alcopops contain 1.1–1.5 units per bottle. For example, a normal 275 ml bottle of WKD contains 1.1 units, whereas Bacardi Breezer and Smirnoff Ice both contain 1.5 units of alcohol." Time to metabolise On average, it takes about one hour for the body to metabolise (break down) one unit of alcohol. However, this will vary with body weight, sex, age, personal metabolic rate, recent food intake, the type and strength of the alcohol, and medications taken. Alcohol may be metabolised more slowly if liver function is impaired. Recommended maximum From 1992 to 1995, the UK government advised that men should drink no more than 21 units per week, and women no more than 14. (The difference between the sexes was due to the typically lower weight and water-to-body-mass ratio of women). The Times claimed in October 2007 that these limits had been "plucked out of the air" and had no scientific basis. This was changed after a government study showed that many people were in effect "saving up" their units and using them at the end of the week, a form of binge drinking. Since 1995 the advice was that regular consumption of 3–4 units a day for men, or 2–3 units a day for women, would not pose significant health risks, but that consistently drinking four or more units a day (men), or three or more units a day (women), is not advisable. An international study of about 6,000 men and 11,000 women for a total of 75,000 person-years found that people who reported that they drank more than a threshold value of 2 units of alcohol a day had a higher risk of fractures than non-drinkers. For example, those who drank over 3 units a day had nearly twice the risk of a hip fracture. See also Standard drink Notes References External links IARD: Drinking Guidelines General Population by country Alcohol Labelling, with downloadable "Alcohol labelling tool kit" including labelling specifications Online converter between different countries' standard drinks and units Drinkaware NHS Choices: Drinking and alcohol NHS Choices: Alcohol unit calculator Online alcohol demotivator calculator Units of measurement Alcohol measurement
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Array data structure
eng_Latn
In computer science, an array data structure, or simply an array, is a data structure consisting of a collection of elements (values or variables), each identified by at least one array index or key. An array is stored such that the position of each element can be computed from its index tuple by a mathematical formula. The simplest type of data structure is a linear array, also called one-dimensional array. For example, an array of 10 32-bit (4-byte) integer variables, with indices 0 through 9, may be stored as 10 words at memory addresses 2000, 2004, 2008, ..., 2036, (in hexadecimal: 0x7D0, 0x7D4, 0x7D8, ..., 0x7F4) so that the element with index i has the address 2000 + (i × 4). The memory address of the first element of an array is called first address, foundation address, or base address. Because the mathematical concept of a matrix can be represented as a two-dimensional grid, two-dimensional arrays are also sometimes called matrices. In some cases the term "vector" is used in computing to refer to an array, although tuples rather than vectors are the more mathematically correct equivalent. Tables are often implemented in the form of arrays, especially lookup tables; the word table is sometimes used as a synonym of array. Arrays are among the oldest and most important data structures, and are used by almost every program. They are also used to implement many other data structures, such as lists and strings. They effectively exploit the addressing logic of computers. In most modern computers and many external storage devices, the memory is a one-dimensional array of words, whose indices are their addresses. Processors, especially vector processors, are often optimized for array operations. Arrays are useful mostly because the element indices can be computed at run time. Among other things, this feature allows a single iterative statement to process arbitrarily many elements of an array. For that reason, the elements of an array data structure are required to have the same size and should use the same data representation. The set of valid index tuples and the addresses of the elements (and hence the element addressing formula) are usually, but not always, fixed while the array is in use. The term array is often used to mean array data type, a kind of data type provided by most high-level programming languages that consists of a collection of values or variables that can be selected by one or more indices computed at run-time. Array types are often implemented by array structures; however, in some languages they may be implemented by hash tables, linked lists, search trees, or other data structures. The term is also used, especially in the description of algorithms, to mean associative array or "abstract array", a theoretical computer science model (an abstract data type or ADT) intended to capture the essential properties of arrays. History The first digital computers used machine-language programming to set up and access array structures for data tables, vector and matrix computations, and for many other purposes. John von Neumann wrote the first array-sorting program (merge sort) in 1945, during the building of the first stored-program computer.p. 159 Array indexing was originally done by self-modifying code, and later using index registers and indirect addressing. Some mainframes designed in the 1960s, such as the Burroughs B5000 and its successors, used memory segmentation to perform index-bounds checking in hardware. Assembly languages generally have no special support for arrays, other than what the machine itself provides. The earliest high-level programming languages, including FORTRAN (1957), Lisp (1958), COBOL (1960), and ALGOL 60 (1960), had support for multi-dimensional arrays, and so has C (1972). In C++ (1983), class templates exist for multi-dimensional arrays whose dimension is fixed at runtime as well as for runtime-flexible arrays. Applications Arrays are used to implement mathematical vectors and matrices, as well as other kinds of rectangular tables. Many databases, small and large, consist of (or include) one-dimensional arrays whose elements are records. Arrays are used to implement other data structures, such as lists, heaps, hash tables, deques, queues, stacks, strings, and VLists. Array-based implementations of other data structures are frequently simple and space-efficient (implicit data structures), requiring little space overhead, but may have poor space complexity, particularly when modified, compared to tree-based data structures (compare a sorted array to a search tree). One or more large arrays are sometimes used to emulate in-program dynamic memory allocation, particularly memory pool allocation. Historically, this has sometimes been the only way to allocate "dynamic memory" portably. Arrays can be used to determine partial or complete control flow in programs, as a compact alternative to (otherwise repetitive) multiple IF statements. They are known in this context as control tables and are used in conjunction with a purpose built interpreter whose control flow is altered according to values contained in the array. The array may contain subroutine pointers (or relative subroutine numbers that can be acted upon by SWITCH statements) that direct the path of the execution. Element identifier and addressing formulas When data objects are stored in an array, individual objects are selected by an index that is usually a non-negative scalar integer. Indexes are also called subscripts. An index maps the array value to a stored object. There are three ways in which the elements of an array can be indexed: 0 (zero-based indexing) The first element of the array is indexed by subscript of 0. 1 (one-based indexing) The first element of the array is indexed by subscript of 1. n (n-based indexing) The base index of an array can be freely chosen. Usually programming languages allowing n-based indexing also allow negative index values and other scalar data types like enumerations, or characters may be used as an array index. Using zero based indexing is the design choice of many influential programming languages, including C, Java and Lisp. This leads to simpler implementation where the subscript refers to an offset from the starting position of an array, so the first element has an offset of zero. Arrays can have multiple dimensions, thus it is not uncommon to access an array using multiple indices. For example, a two-dimensional array A with three rows and four columns might provide access to the element at the 2nd row and 4th column by the expression A[1][3] in the case of a zero-based indexing system. Thus two indices are used for a two-dimensional array, three for a three-dimensional array, and n for an n-dimensional array. The number of indices needed to specify an element is called the dimension, dimensionality, or rank of the array. In standard arrays, each index is restricted to a certain range of consecutive integers (or consecutive values of some enumerated type), and the address of an element is computed by a "linear" formula on the indices. One-dimensional arrays A one-dimensional array (or single dimension array) is a type of linear array. Accessing its elements involves a single subscript which can either represent a row or column index. As an example consider the C declaration int anArrayName[10]; which declares a one-dimensional array of ten integers. Here, the array can store ten elements of type int . This array has indices starting from zero through nine. For example, the expressions anArrayName[0] and anArrayName[9] are the first and last elements respectively. For a vector with linear addressing, the element with index i is located at the address , where B is a fixed base address and c a fixed constant, sometimes called the address increment or stride. If the valid element indices begin at 0, the constant B is simply the address of the first element of the array. For this reason, the C programming language specifies that array indices always begin at 0; and many programmers will call that element "zeroth" rather than "first". However, one can choose the index of the first element by an appropriate choice of the base address B. For example, if the array has five elements, indexed 1 through 5, and the base address B is replaced by , then the indices of those same elements will be 31 to 35. If the numbering does not start at 0, the constant B may not be the address of any element. Multidimensional arrays For a multidimensional array, the element with indices i,j would have address B + c · i + d · j, where the coefficients c and d are the row and column address increments, respectively. More generally, in a k-dimensional array, the address of an element with indices i1, i2, ..., ik is B + c1 · i1 + c2 · i2 + … + ck · ik. For example: int a[2][3]; This means that array a has 2 rows and 3 columns, and the array is of integer type. Here we can store 6 elements they will be stored linearly but starting from first row linear then continuing with second row. The above array will be stored as a11, a12, a13, a21, a22, a23. This formula requires only k multiplications and k additions, for any array that can fit in memory. Moreover, if any coefficient is a fixed power of 2, the multiplication can be replaced by bit shifting. The coefficients ck must be chosen so that every valid index tuple maps to the address of a distinct element. If the minimum legal value for every index is 0, then B is the address of the element whose indices are all zero. As in the one-dimensional case, the element indices may be changed by changing the base address B. Thus, if a two-dimensional array has rows and columns indexed from 1 to 10 and 1 to 20, respectively, then replacing B by will cause them to be renumbered from 0 through 9 and 4 through 23, respectively. Taking advantage of this feature, some languages (like FORTRAN 77) specify that array indices begin at 1, as in mathematical tradition while other languages (like Fortran 90, Pascal and Algol) let the user choose the minimum value for each index. Dope vectors The addressing formula is completely defined by the dimension d, the base address B, and the increments c1, c2, ..., ck. It is often useful to pack these parameters into a record called the array's descriptor or stride vector or dope vector. The size of each element, and the minimum and maximum values allowed for each index may also be included in the dope vector. The dope vector is a complete handle for the array, and is a convenient way to pass arrays as arguments to procedures. Many useful array slicing operations (such as selecting a sub-array, swapping indices, or reversing the direction of the indices) can be performed very efficiently by manipulating the dope vector. Compact layouts Often the coefficients are chosen so that the elements occupy a contiguous area of memory. However, that is not necessary. Even if arrays are always created with contiguous elements, some array slicing operations may create non-contiguous sub-arrays from them. There are two systematic compact layouts for a two-dimensional array. For example, consider the matrix In the row-major order layout (adopted by C for statically declared arrays), the elements in each row are stored in consecutive positions and all of the elements of a row have a lower address than any of the elements of a consecutive row: {| class="wikitable" |- | 1 || 2 || 3 || 4 || 5 || 6 || 7 || 8 || 9 |} In column-major order (traditionally used by Fortran), the elements in each column are consecutive in memory and all of the elements of a column have a lower address than any of the elements of a consecutive column: {| class="wikitable" |- | 1 || 4 || 7 || 2 || 5 || 8 || 3 || 6 || 9 |} For arrays with three or more indices, "row major order" puts in consecutive positions any two elements whose index tuples differ only by one in the last index. "Column major order" is analogous with respect to the first index. In systems which use processor cache or virtual memory, scanning an array is much faster if successive elements are stored in consecutive positions in memory, rather than sparsely scattered. Many algorithms that use multidimensional arrays will scan them in a predictable order. A programmer (or a sophisticated compiler) may use this information to choose between row- or column-major layout for each array. For example, when computing the product A·B of two matrices, it would be best to have A stored in row-major order, and B in column-major order. Resizing Static arrays have a size that is fixed when they are created and consequently do not allow elements to be inserted or removed. However, by allocating a new array and copying the contents of the old array to it, it is possible to effectively implement a dynamic version of an array; see dynamic array. If this operation is done infrequently, insertions at the end of the array require only amortized constant time. Some array data structures do not reallocate storage, but do store a count of the number of elements of the array in use, called the count or size. This effectively makes the array a dynamic array with a fixed maximum size or capacity; Pascal strings are examples of this. Non-linear formulas More complicated (non-linear) formulas are occasionally used. For a compact two-dimensional triangular array, for instance, the addressing formula is a polynomial of degree 2. Efficiency Both store and select take (deterministic worst case) constant time. Arrays take linear (O(n)) space in the number of elements n that they hold. In an array with element size k and on a machine with a cache line size of B bytes, iterating through an array of n elements requires the minimum of ceiling(nk/B) cache misses, because its elements occupy contiguous memory locations. This is roughly a factor of B/k better than the number of cache misses needed to access n elements at random memory locations. As a consequence, sequential iteration over an array is noticeably faster in practice than iteration over many other data structures, a property called locality of reference (this does not mean however, that using a perfect hash or trivial hash within the same (local) array, will not be even faster - and achievable in constant time). Libraries provide low-level optimized facilities for copying ranges of memory (such as memcpy) which can be used to move contiguous blocks of array elements significantly faster than can be achieved through individual element access. The speedup of such optimized routines varies by array element size, architecture, and implementation. Memory-wise, arrays are compact data structures with no per-element overhead. There may be a per-array overhead (e.g., to store index bounds) but this is language-dependent. It can also happen that elements stored in an array require less memory than the same elements stored in individual variables, because several array elements can be stored in a single word; such arrays are often called packed arrays. An extreme (but commonly used) case is the bit array, where every bit represents a single element. A single octet can thus hold up to 256 different combinations of up to 8 different conditions, in the most compact form. Array accesses with statically predictable access patterns are a major source of data parallelism. Comparison with other data structures Dynamic arrays or growable arrays are similar to arrays but add the ability to insert and delete elements; adding and deleting at the end is particularly efficient. However, they reserve linear (Θ(n)) additional storage, whereas arrays do not reserve additional storage. Associative arrays provide a mechanism for array-like functionality without huge storage overheads when the index values are sparse. For example, an array that contains values only at indexes 1 and 2 billion may benefit from using such a structure. Specialized associative arrays with integer keys include Patricia tries, Judy arrays, and van Emde Boas trees. Balanced trees require O(log n) time for indexed access, but also permit inserting or deleting elements in O(log n) time, whereas growable arrays require linear (Θ(n)) time to insert or delete elements at an arbitrary position. Linked lists allow constant time removal and insertion in the middle but take linear time for indexed access. Their memory use is typically worse than arrays, but is still linear. An Iliffe vector is an alternative to a multidimensional array structure. It uses a one-dimensional array of references to arrays of one dimension less. For two dimensions, in particular, this alternative structure would be a vector of pointers to vectors, one for each row(pointer on c or c++). Thus an element in row i and column j of an array A would be accessed by double indexing (A[i][j] in typical notation). This alternative structure allows jagged arrays, where each row may have a different size—or, in general, where the valid range of each index depends on the values of all preceding indices. It also saves one multiplication (by the column address increment) replacing it by a bit shift (to index the vector of row pointers) and one extra memory access (fetching the row address), which may be worthwhile in some architectures. Dimension The dimension of an array is the number of indices needed to select an element. Thus, if the array is seen as a function on a set of possible index combinations, it is the dimension of the space of which its domain is a discrete subset. Thus a one-dimensional array is a list of data, a two-dimensional array is a rectangle of data, a three-dimensional array a block of data, etc. This should not be confused with the dimension of the set of all matrices with a given domain, that is, the number of elements in the array. For example, an array with 5 rows and 4 columns is two-dimensional, but such matrices form a 20-dimensional space. Similarly, a three-dimensional vector can be represented by a one-dimensional array of size three. See also Dynamic array Parallel array Variable-length array Bit array Array slicing Offset (computer science) Row- and column-major order Stride of an array References External links
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A.S. Roma
eng_Latn
Associazione Sportiva Roma (, ; Rome Sport Association), commonly referred to as Roma (), is an Italian professional football club based in Rome. Founded by a merger in 1927, Roma have participated in the top-tier of Italian football for all of their existence except for the 1951–52 season. Roma have won Serie A three times, in 1941–42, 1982–83 and 2000–01, as well as nine Coppa Italia titles and two Supercoppa Italiana titles. In European competitions, Roma has won the Inter-Cities Fairs Cup in 1960–61 and were runners-up in the 1983–84 European Cup and the 1990–91 UEFA Cup. Fifteen players have won the FIFA World Cup while playing at Roma: Attilio Ferraris and Enrique Guaita (1934); Guido Masetti and Eraldo Monzeglio (1934 and 1938); Aldo Donati and Pietro Serantoni (1938); Bruno Conti (1982); Rudi Voller and Thomas Berthold (1990); Aldair (1994); Vincent Candela (1998); Cafu (2002); Daniele De Rossi, Simone Perrotta and Francesco Totti (2006). Since 1953, Roma have played their home matches at the Stadio Olimpico, a venue they share with city rivals Lazio. With a capacity of over 72,000, it is the second-largest of its kind in Italy, with only the San Siro able to seat more. The club plan to move to a new stadium, though it is yet to start construction. Having a strong local rivalry, Roma and Lazio contest Derby della Capitale. The club's home colours are carmine red and golden yellow, which gives Roma their nickname "I Giallorossi" ("The Yellow and Reds"). These colours have often been combined with white shorts. Their club badge features a she-wolf, an allusion to the founding myth of Rome. History A.S. Roma was founded in the spring of 1927 when Italo Foschi initiated the merger of three older Italian Football Championship clubs from the city of Rome: Roman FC, SS Alba-Audace and Fortitudo-Pro Roma SGS. Italo Foschi was an important Roman representative of the ruling National Fascist Party. The purpose of the merger was to give the Italian capital a strong club to rival that of the more dominant Northern Italian clubs of the time. The only major Roman club to resist the merger was Lazio because of the intervention of the army General Vaccaro, a member of the club and executive of Italian Football Federation. All three founding clubs were relegated, but the fascist-aligned FIGC bet over the capacity of the new team to give a stronger representation to the capital of Italy, and they were awarded a wild card for the Divisione Nazionale, the Serie A forerunner. The club played its earliest seasons at the Motovelodromo Appio stadium, before settling in the working-class streets of Testaccio, where it built an all-wooden ground Campo Testaccio; this was opened in November 1929. An early season in which Roma made a large mark was the 1930–31 championship, where the club finished as runners-up behind Juventus. Captain Attilio Ferraris, along with Guido Masetti, Fulvio Bernardini and Rodolfo Volk, were highly important players during this period. First title victory and decline After a slump in league form and the departure of high key players, Roma eventually rebuilt their squad adding goalscorers such as the Argentine Enrique Guaita. Under the management of Luigi Barbesino, the Roman club came close to their first title in 1935–36, finishing just one point behind champions Bologna. Roma returned to form after being inconsistent for much of the late 1930s. Roma recorded an unexpected title triumph in the 1941–42 season by winning their first Scudetto title. The 18 goals scored by local player Amedeo Amadei were essential to the Alfréd Schaffer-coached Roma side winning the title. At the time, Italy was involved in World War II and Roma were playing at the Stadio del Partito Nazionale Fascista. In the years just after the war, Roma were unable to recapture their league stature from the early 1940s. Roma finished in the lower half of Serie A for five seasons in a row, before eventually succumbing to their only ever relegation to Serie B at the end of the 1950–51 season, around a decade after their championship victory. Under future Italy national team manager Giuseppe Viani, promotion straight back up was achieved. After returning to the Serie A, Roma managed to stabilise themselves as a top-half club again with players such as Egisto Pandolfini, Dino Da Costa and Dane Helge Bronée. Their best finish of this period was under the management of Englishman Jesse Carver, when in 1954–55, they finished as runners-up after Udinese, who originally finished second were relegated for corruption. Although Roma were unable to break into the top four during the following decade, they did achieve some measure of cup success. Their first honour outside of Italy was recorded in 1960–61 when Roma won the Inter-Cities Fairs Cup by defeating Birmingham City 4–2 in the finals. A few years later, Roma won their first Coppa Italia trophy in 1963–64 after defeating Torino 1–0. Their lowest point came during the 1964–65 season, when manager Juan Carlos Lorenzo announced the club could not pay its players and was unlikely to be able to afford to travel to Vicenza to fulfil its next fixture. Supporters kept the club going with a fundraiser at the Sistine Theatre and bankruptcy was avoided with the election of a new club president Franco Evangelisti. Their second Coppa Italia trophy was won in 1968–69, when it competed in a small, league-like system. Giacomo Losi set a Roma appearance record in 1969 with 450 appearances in all competitions, a record that would last 38 years. Time of mixed fortunes Roma were able to add another cup to their collection in 1972, with a 3–1 victory over Blackpool in the Anglo-Italian Cup. During much of the 1970s, Roma's appearance in the top half of Serie A was sporadic. The best place the club were able to achieve during the decade was third in 1974–75. Notable players who turned out for the club during this period included midfielders Giancarlo De Sisti and Francesco Rocca. The dawning of a newly successful era in Roma's footballing history was brought in with another Coppa Italia victory, they defeated Torino on penalties to win the 1979–80 edition. Roma would reach heights in the league which they had not touched since the 1940s by narrowly and controversially finishing as runners-up to Juventus in 1980–81. Former Milan player Nils Liedholm was the manager at the time, with players such as Bruno Conti, Agostino Di Bartolomei, Roberto Pruzzo and Falcão. The second Scudetto did not elude Roma for much longer. In 1982–83, the Roman club won the title for the first time in 41 years, amidst celebrations in the capital. The following season, Roma finished as runners-up in Italy and collected a Coppa Italia title, they also finished as runners-up in the European Cup final of 1984. The European Cup final with Liverpool ended in a 1–1 draw with a goal from Pruzzo, but Roma eventually lost in the penalty shoot-out. Roma's successful run in the 1980s would finish with a runners-up spot in 1985–86 and a Coppa Italia victory, beating out Sampdoria 3–2. After, a comparative decline began in the league, one of the few league highs from the following period being a third-place finish in 1987–88. At the start of the 1990s, the club was involved in an all-Italian UEFA Cup final, where they lost 2–1 to Internazionale in 1991. The same season, the club won its seventh Coppa Italia and ended runners-up to Sampdoria in the Supercoppa Italiana. Aside from finishing runners-up to Torino in a Coppa Italia final, the rest of the decade was largely sub-par in the history of Roma, particularly in the league, where the highest they could manage was fourth in 1997–98. The early 1990s also saw the emergence of homegrown striker Francesco Totti, who would go on to be an important member of the team and the club's iconic captain. In the new millennium 2000–2010 Roma returned to form in the 2000s, beginning the decade in great style by winning their third Serie A title in 2000–01. The Scudetto was won on the last day of the season after defeating Parma 3–1, edging Juventus by two points. The club's captain, Francesco Totti, was a large reason for the title victory and he would become one of the main heroes in the club's history, going on to break several club records. Other important players during this period included Aldair, Cafu, Gabriel Batistuta and Vincenzo Montella. The club attempted to defend the title in the following season but ended as runners-up to Juventus by one point. This would be the start of Roma finishing as runners-up several times in both Serie A and Coppa Italia during the 2000s – they lost out 4–2 to Milan in the Coppa Italia final of 2003 and lost to Milan again by finishing second in Serie A for the 2003–04 season. The club also re-capitalized several time in 2003–04 season. In November 2003, €37.5 million was injected by "Roma 2000" to cover the half-year loss and loss carried from previous year. and again on 30 June for €44.57 million. Through stock market, a further €19.850 million of new shares issued, and at the year end, the share capital was €19.878 million, which was unchanged . The following season also saw the departure of Walter Samuel for €25 million and Emerson for €28 million, which decreased the strength of the squad. The Giallorossi therefore finished in eighth place, one of the worst of recent seasons. On 9 July 2006, Roma's Francesco Totti, Daniele De Rossi and Simone Perrotta were part of the Italy national team which defeated France in the 2006 FIFA World Cup Final. A Serie A scandal was revealed during 2006; Roma were not one of the teams involved. After punishments were issued, Roma was re-classified as runners-up for 2005–06, the same season they finished second in the Coppa Italia losing to Internazionale. In the two following seasons, 2006–07 and 2007–08, Roma finished as Serie A runners-up, meaning that in the 2000s, Roma have finished in the top two positions more than any other decade in their history. Meanwhile, in the UEFA Champions League during both of these seasons, they reached the quarter-finals before going out to Manchester United. Despite the sloppy start in the 2008–09 Champions League, Roma managed to reach the knockout stage ahead of Chelsea in their group, thus finishing for the first time in their history as winners of the group stage. However, the Giallorossi, would lose to Arsenal in the knockout stage on penalty kicks, ending their Champions League campaign. After a disappointing start to the 2009–10 season, Claudio Ranieri replaced Luciano Spalletti as head coach. At the time of the switch, Roma lay bottom of the Serie A table after losses to Juventus and Genoa. Despite this setback, Roma would later embark on an incredible unbeaten streak of 24 matches in the league – with the last of the 24 being a 2–1 win over rivals Lazio, whereby Roma came from 1–0 down at half-time to defeat their city rivals after Ranieri courageously substituted both Totti and De Rossi at the interval. The Giallorossi were on top of the table at one point, before a loss to Sampdoria later in the season. Roma would finish runners-up to Internazionale yet again in both Serie A and the Coppa Italia. This rounded out a highly successful decade in Roma's history, following somewhat mediocre results of the 1990s. During the 2000s, Roma had finally recaptured the Scudetto, two Coppa Italia trophies, and their first two Supercoppa Italiana titles. Other notable contributions to the club's history have included a return to the Champions League quarter-finals (in the 2006–07 and 2007–08 editions) since 1984, six runners up positions in the league, four Coppa Italia finals and three Supercoppa finals – marking Roma's greatest ever decade. The "AS Roma SPV LLC" era In the summer of 2010, the Sensi family agreed to relinquish their control of Roma as part of a debt-settlement agreement. This brought an end to the presidential reign of the Sensi family, who had presided over the club since 1993. Until a new owner was appointed, Rosella Sensi would continue her directorial role of the club. The 2010–11 season had once again seen Roma start off with mixed fortunes on both a domestic and European level. These included losses against Cagliari, Brescia and a 2–0 defeat against Bayern Munich in the group stages of the Champions League, a match which saw manager Claudio Ranieri openly criticized by his players. However, these were accompanied by victories against Inter and a sensational victory against Bayern Munich in the return fixture, which saw Roma fight back from 0–2 down at half-time to emerge as 3–2 winners. Following a series of poor results that saw Roma engage in a winless-streak of five consecutive matches, Ranieri resigned as head coach in February 2011, and former striker Vincenzo Montella was appointed as caretaker manager until the end of the season. It was also during this season that Roma icon Francesco Totti scored his 200th Serie A goal against Fiorentina in March 2011, becoming only the sixth player to achieve such a feat. On 16 April 2011, the takeover contract was closed with an American investment group led by Thomas R. DiBenedetto, with James Pallotta, Michael Ruane and Richard D'Amore as partners. DiBenedetto became the 22nd president of the club, serving from 27 September 2011 to 27 August 2012 and was succeeded by Pallotta. The new intermediate holding company, NEEP Roma Holding, was 60% owned by American's "AS Roma SPV, LLC" and the rest (40%) was retained by the creditor of Sensi, UniCredit. In turn, NEEP owned all shares held previously by Sensi (about 67%) with the rest free float in the stock market. UniCredit later disinvested NEEP Roma Holding to sell to "AS Roma SPV, LLC" and Pallotta. The new ownership immediately went into effect by making significant changes in the club, hiring Walter Sabatini as director of football and former Spanish international and Barcelona B coach Luis Enrique as manager. The first high-profile player signings from the duo were attacking midfielder Erik Lamela from River Plate, forward Bojan from Barcelona, goalkeeper Maarten Stekelenburg from Ajax and unattached defender Gabriel Heinze. The club also sold and released defender John Arne Riise, goalkeeper Doni and forwards Jérémy Ménez and Mirko Vučinić. At the financial level, the company had recapitalised for more than €100 million, the last recapitalisation occurring in the early 2000s. Roma, however, was eliminated from 2011–12 UEFA Europa League play-off round. After the formal takeover on 18 August, Roma bought forward Dani Osvaldo, midfielders Miralem Pjanić and Fernando Gago and defender Simon Kjær, as well as youngster Fabio Borini, which cost the club more than €40 million. In 2012, Pallotta became the new president. The 2012–13 pre-season started with the June hiring of former manager Zdeněk Zeman. Zeman replaced Luis Enrique who resigned at the end of the 2011–12 season. Luis Enrique's lone season reign had seen the disappointing loss to Slovan Bratislava in the UEFA Europa League, as well as the inability to qualify for international competitions for the 2012–13 season. Roma eventually finished seventh, losing the Europa League chase to rivals Lazio, Napoli and Internazionale. Zeman brought back his high-scoring 4–3–3 formation and his hard working ethic which successfully guided former team Pescara to the Serie A. However, he was sacked on 2 February 2013. He was replaced by caretaker manager Aurelio Andreazzoli, whose reign saw the continuation of a disappointing season, with the team ending up in sixth place in Serie A, while also losing 1–0 to rivals Lazio in the Coppa Italia final. As a result, Roma missed out on European competition for the second-straight season. On 12 June 2013, Pallotta announced that Rudi Garcia had been appointed the new manager of Roma. He enjoyed a fantastic start to his Roma career, winning his first ten matches (an all-time Serie A record) including a 2–0 derby win against Lazio, a 0–3 victory away to Internazionale and a 2–0 home win over title rivals Napoli. During this run, Roma scored 24 times while conceding just once, away to Parma. The 2013–14 season saw one of Roma's best in Serie A, the club tallying an impressive 85 points and finishing second to Juventus, who won the league with a record-breaking 102 points. Roma's defence was significantly better than in previous seasons, with only 25 goals conceded and a total of 21 clean sheets, including nine in their first ten matches. In 2014–15, Roma finished second behind Juventus for the second consecutive season after a poor run of form in 2015. At the end of season, the club was sanctioned for loss making and breaking UEFA Financial Fair Play Regulations. On 12 August 2015, and after months of speculation during the 2015 summer transfer market, Roma acquired Bosnia international, Edin Džeko, from Manchester City on a €4 million loan with an €11 million option to buy clause, which is activated on 1 October 2015, making a star striker permanent addition to the club. Džeko made his Serie A debut ten days later, playing the entirety of a 1–1 draw at Hellas Verona, and scored his first goal for the club in his second appearance on 30 August, the winning goal in the 79th minute to defeat reigning champions Juventus 2–1 at the Stadio Olimpico. On 13 January 2016, Garcia was sacked after a run of one win in seven Serie A matches. Luciano Spalletti was subsequently appointed manager of Roma for his second spell. On 21 February, Totti publicly criticised Spalletti due to his own lack of playing-time since returning from injury. Consequently, Totti was subsequently dropped by Spalletti for Roma's 5–0 win over Palermo, with the decision causing an uproar among the fans and in the media. After their initial disagreements, Spalletti began to use Totti as an immediate impact substitute, which proved to be an effective decision, as the Roma number 10 rediscovered his form and contributed with four goals and one assist after coming off the bench in five consecutive Serie A matches. As a result, Spalletti was able to lead Roma from a mid-table spot to a third-place finish in Serie A, clinching the UEFA Champions League play-off spot. During the summer of 2016, Roma lost star midfielder Miralem Pjanić to rivals Juventus to improve its financial position. On 27 April 2017, Roma appointed Sevilla FC's Sporting director Monchi as their new sporting director. On 28 May 2017, on the last day of the 2016–17 season, Francesco Totti made his 786th and final appearance for Roma before retiring in a 3–2 home win against Genoa, coming on as a substitute for Mohamed Salah in the 54th minute and received a standing ovation from the fans. The win saw Roma finish second in Serie A behind Juventus. Following Totti's retirement, Daniele De Rossi became club captain and signed a new two-year contract. On 13 June 2017, former Roma player Eusebio Di Francesco was appointed as the club's new manager, replacing Spalletti, who had left the club to take charge of Internazionale. Roma again lost a key player during the summer transfer window, with Mohamed Salah joining Liverpool F.C. for a fee of 39m euro (£34m). Several new players joined the club, including a club-record deal for Sampdoria striker Patrik Schick and Aleksandar Kolarov in a €5m (£4.4m) move from Manchester City Di Francesco also brought in Gregoire Defrel from his previous club Sassuolo in an €18 million deal. On 5 December 2017 the Stadio della Roma project, after experiencing five years worth of delays due to conflicting interests from various parties in the Roman city government, was given the go-ahead to begin construction. It is slated to open in time for the 2020–21 season and will replace the Stadio Olimpico as Roma's ground. In the 2017–18 UEFA Champions League group stage, Roma were drawn in a tough Group C with Chelsea, Atletico Madrid and Qarabag. However, after performing strongly in the group stage, including a 3–0 home victory against Chelsea, Roma progressed to the knockout stages as Group C winners after Diego Perotti's lone goal in a 1–0 win over Qarabag. After progressing past Shakhtar Donetsk in the Round of 16, Roma were drawn against FC Barcelona in the quarter-finals. On 4 April 2018, Roma were defeated 4–1 away to Barcelona at the Camp Nou in the first leg, after own goals from Daniele De Rossi and Kostas Manolas, although Edin Džeko provided a late glimmer of hope by scoring an away goal. On 10 April, Roma pulled off a sensational second-leg comeback at the Stadio Olimpico to beat Barcelona 3-0 and reach the Champions League semi-finals on away goals. An early goal from Edin Džeko and a 58th-minute penalty from De Rossi had left the Giallorossi needing to score one more goal to progress before Manolas scored the crucial third goal, heading in at the near post with eight minutes remaining. By doing so, Roma became only the third team in Champions League history to overturn a first-leg defeat of three goals or more and reached the final four of the competition for the first time since 1984. Roma were subsequently drawn against Liverpool, the team that had defeated them in the 1984 European Cup Final, in the semi-finals. Liverpool would go on to win the tie 7–6 on aggregate. Roma ended the 2017–2018 season in 3rd place on 77 points, qualifying for the following season's Champions League. In the summer of 2018, Roma were busy in the transfer market, in large parts thanks to the €83 million they received from reaching the Champions League semi finals, as well as selling Alisson for a world record €72 million including bonuses to Liverpool. In a very busy window, Roma spent €150 million to sign the likes of Shick, Nzonzi, Pastore, Kluivert, Defrel and more, while selling their 2 starting midfielders from the previous season, Nainggolan and Strootman. The 2018-2019 Serie A season was a disappointment for Roma as they spent the first half of the season bouncing between 6th and 10th place. This was compounded by the fact that many of the new signings failed to make an impact. After Roma were eliminated against Porto 4–3 on aggregate in the Champions League round of 16, Di Francesco was sacked and replaced by Claudio Ranieri who served as caretaker manager. The following day, sporting director Monchi stepped down. He stated: “I left Roma for a simple reason: I realized that the owners’ ideas were different to mine. The President thought it was better to go to the right, I thought it was better to go to the left”. James Pallotta hit back saying “I gave him [Monchi] 100 percent control to appoint the coach he wanted, to employ the assistant coaches and the performance staff, to manage the scouting and to bring in the players he wanted. If you look at our results and our performances, it's clear that this hasn't worked. He asked me to trust him and let him do it his way. We gave him complete control and now we have more injuries than we’ve ever had and are in danger of missing out on finishing in the top 3 for the first time since 2014." In Monchi's 2 years at the club, he spent £208 million on 21 signings, however within 2 years, only 12 of his signings remained at the club. Under Ranieri results improved, however Roma failed to qualify for the Champions League, finishing in 6th place on 66 points. On 11 June 2019, Roma appointed Paulo Fonseca as their new manager. In December 2019, AS Roma SPV LLC was in final negotiations to sell the team for $872 million, to American businessman Dan Friedkin, however negotiations stalled during the COVID-19 pandemic. On 6 August 2020, Friedkin signed the preliminary contract to agree to pay $591 million to Pallotta, the main shareholder of Roma. On May 4, 2021, the club announced that Fonseca would leave at the end of the 2020–21 season. The same day, Jose Mourinho was announced as Fonseca's replacement on a 3-year contract set to begin in the 2021–22 season. Colours, kits, crests and nicknames Roma's colours of carmine red with a golden yellow trim represents the traditional colours of Rome, the official seal of the Comune di Roma features the same colours. The gold and the purple-red represent Roman imperial dignity. White shorts and black socks are usually worn with the red shirt. However, in particularly high key matches, the shorts and socks are the same colour as the home shirt. The kit itself was originally worn by Roman Football Club; one of the three clubs who merged to form the current incarnation in 1927. Because of the colours they wear, Roma are often nicknamed i giallorossi meaning the yellow-reds. Roma's away kit is traditionally white, with a third kit changing colour from time to time. A popular nickname for the club is "i lupi" ("the wolves") – the animal has always featured on the club's badge in different forms throughout their history. The emblem of the team is currently the one which was used when the club was first founded. It portrays the female wolf with the two infant brothers Romulus and Remus, illustrating the myth of the founding of Rome, superimposed on a bipartite golden yellow over a maroon red shield. In the myth from which the club takes their nickname and logo, the twins (sons of Mars and Rhea Silvia) are thrown into the river Tiber by their uncle Amulius. A she-wolf then saved the twins and looked after them. Eventually, the two twins took revenge on Amulius before falling-out themselves – Romulus killed Remus and was thus made king of a new city named in his honour, Rome. Kit suppliers and shirt sponsors Facilities Stadiums The first sport facility Roma used was the Motovelodromo Appio, previously used by Alba-Audace. Roma only played the 1927–28 season there until they moved to Campo Testaccio the very next season. Campo Testaccio was used through 1929 to 1940. The team moved later to the Stadio Nazionale del PNF, where they spent 13 years before moving once again. In the 1953–54 season, Roma moved to the Olympic arena, Stadio Olimpico, which it shares with Lazio. The arena has undergone several changes over the years. The most significant change took place in the nineties when Stadio Olimpico was demolished and then reconstructed for the 1990 FIFA World Cup, held in Italy. Roma have played almost every season since 1953–54, with exception of the 1989–90 seasons due to the reconstruction of Stadio Olimpico. That year, Roma played its home matches at Stadio Flaminio. On 30 December 2012, Roma club president James Pallotta announced the construction of a new stadium in the Tor di Valle area of Rome. The new stadium, Stadio della Roma, will have a capacity of 52,500 spectators. On 2 February 2017, the Region of Lazio and the mayor of Rome rejected the proposal to build a new stadium. However, it was later approved on 24 February after final review of the stadium's design adjustments. In August 2017, the stadium suffered another delay, forcing Roma to renew their lease with the Stadio Olimpico until 2020. It is presently uncertain when the stadium will open. On 5 December 2017 the Stadio della Roma project, after experiencing five years worth of delays due to conflicting interests from various parties in the Roman city government, was given the go-ahead to begin construction, with the stadium expected to be ready to open for the 2020–21 season. On 26 February 2021, it was announced that the stadium project was halted. List of stadiums used by the club 1927–1928 Motovelodromo Appio 1929–1940 Campo Testaccio 1940–1953 Stadio Nazionale del PNF 1953– Stadio Olimpico (1989–1990 Stadio Flaminio due to renovations on Olimpico) Trigoria A sports centre located in Trigoria at kilometre 3600 in south-east of Rome was purchased on 22 July 1977 by then club president Gaetano Anzalone. It was opened on 23 July 1979 as Anzalone's final act as president. The complex had its first expansion in 1984 when the club was handled by Dino Viola and another in 1998 under the chairmanship of Franco Sensi. The centre's official name is the Fulvio Bernardini di Trigoria, named after club icon Fulvio Bernardini. On 4 September 2019, the Trigoria training ground began to serve also as a private school named 'Liceo Scientifico Sportivo A.S. Roma' exclusively educating only the team's youth players in a renovated building on the training ground premises. 80 students are currently enrolled in the school which features its own cafeteria and gym. The centre is also known for hosting the Argentina national team during the 1990 FIFA World Cup, held in Italy. Supporters Roma is the fifth-most supported football club in Italy – behind Juventus, Internazionale, A.C. Milan and Napoli – with approximately 7% of Italian football fans supporting the club, according to the Doxa Institute-L'Espresso's research of April 2006. Historically, the largest section of Roma supporters in the city of Rome have come from the inner-city, especially Testaccio. The traditional ultras group of the club was Commando Ultrà Curva Sud commonly abbreviated as CUCS. This group was founded by the merger of many smaller groups and was considered one of the most historic in the history of European football. However, by the mid-1990s, CUCS had been usurped by rival factions and ultimately broke up. Since that time, the Curva Sud of the Stadio Olimpico has been controlled by more right-wing groups, including A.S. Roma Ultras, Boys and Giovinezza, among others. However, the oldest group, Fedayn, is apolitical, and politics is not the main identity of Roma, just a part of their overall identity. Besides ultras groups, it is believed Roma fans support the left as opposed to Lazio supporters, which are notoriously proud of their right-wing affiliation. In November 2015, Roma's ultras and their Lazio counterparts boycotted Roma's 1–0 victory in the Derby della Capitale in protest at new safety measures imposed at the Stadio Olimpico. The measures – imposed by Rome's prefect, Franco Gabrielli – had involved plastic glass dividing walls being installed in both the Curva Sud and Curva Nord, splitting the sections behind each goal in two. Both sets of ultras continued their protests for the rest of the season, including during Roma's 4–1 victory in the return fixture. Lazio's ultras returned to the Curva Nord for Roma's 1–4 victory in December 2016, but the Roma ultras continue to boycott matches. The most known club anthem is "Roma (non-si discute, si ama)", also known as "Roma Roma", by singer Antonello Venditti. The title roughly means, "Roma is not to be questioned, it is to be loved," and it is sung before each match. The song "Grazie Roma", by the same singer, is played at the end of victorious home matches. Recently, the main riff of The White Stripes' song "Seven Nation Army" has also become widely popular at matches. Rivalries In Italian football, Roma is a club with many rivalries; first and foremost is their rivalry with Lazio, the club with whom they share the Stadio Olimpico. The derby between the two is called the Derby della Capitale, it is amongst the most heated and emotional footballing rivalries in the world. The fixture has seen some occasional instances of violence in the past, including the death of Lazio fan Vincenzo Paparelli in 1979–80 as a result of an emergency flare fired from the Curva Sud, and the abandonment of a match in March 2004 following unfounded rumours of a fatality which led to violence outside the stadium. Against Napoli, Roma also compete in the Derby del Sole, meaning the "Derby of the Sun". Nowadays, fans also consider other Juventus (a rivalry born especially in the 1980s), Milan, Atalanta (since 1984, when friendly relations between the two clubs' ultras deteriorated), and Internazionale (increased in recent years) among their rivals, as they are often competitors for the top four spots in the league table and qualification for the UEFA Champions League. Hooliganism Rivalries with other teams have escalated into serious violence. A group of ultras who label themselves the Fedayn — 'the devotees' — after a group of long-forgotten Iranian guerrilla fighters are regarded to be responsible for the organised hooliganism. In 2014 Daniele De Santis, a Roma ultra, was convicted of shooting Ciro Esposito and two others during clashes with Napoli fans who were in Rome for their club's Coppa Italia final against Fiorentina. Esposito died of his wounds. De Santis was sentenced to 26 years in prison, later reduced to 16 years on appeal. Roma ultras have displayed banners celebrating De Santis. There have been multiple instances of Roma ultras attacking supporters of foreign clubs when playing in Rome. These attacks have regularly featured the Roma ultras using knives, poles, flares, bottles and stones on unarmed foreign supporters, resulting in multiple hospitalisations. Home games against Liverpool in 1984 and 2001, Middlesbrough in 2006, Manchester United in 2007, Arsenal in 2009, Tottenham Hotspur in 2012, and Chelsea in 2017 have all resulted in multiple stabbings and other injuries to foreign supporters. In 2018 Roma ultras travelling to an away game at Liverpool attacked home supporters, resulting in a home supporter being critically injured. Players Current squad Other players under contract Primavera squad Out on loan Management staff Chairmen history Roma have had numerous chairmen ( or ) over the course of their history, some of which have been the owners and co-owners of the club, some of them were nominated by the owners. Franco Sensi was the chairman until his death in 2008, with his daughter, Roma CEO Rosella Sensi taking his place as chairman. Here is a complete list of Roma chairmen from 1927 until the present day. Managerial history Roma have had many managers and trainers running the team during their history, here is a chronological list of them from 1927 onwards. Honours National titles Serie A Winners (3): 1941–42, 1982–83, 2000–01 Coppa Italia Winners (9): 1963–64, 1968–69, 1979–80, 1980–81, 1983–84, 1985–86, 1990–91, 2006–07, 2007–08 Supercoppa Italiana Winners (2): 2001, 2007 Serie B Winners (1): 1951–52 European titles Inter-Cities Fairs Cup Winners (1): 1960–61 Hall of Fame On 7 October 2012, the AS Roma Hall of Fame was announced. The Hall of Fame players were voted via the club's official website and a special Hall of Fame panel. In 2013 four players were voted in. In 2014, the third year of AS Roma Hall of Fame four more players were voted in. Added in 2012: Franco Tancredi (1977–90) Cafu (1997–03) Giacomo Losi (1954–69) Aldair (1990-03) Francesco Rocca (1972–81) Fulvio Bernardini (1928–39) Agostino Di Bartolomei (1972–75; 1976–84) Falcão (1980–85) Bruno Conti (1973–75; 1976–78; 1979–91) Roberto Pruzzo (1978–88) Amedeo Amadei (1936–38; 1939–48) Added in 2013: Attilio Ferraris (1927–34; 1938–39) Sebino Nela (1981–92) Giuseppe Giannini (1981–96) Vincenzo Montella (1999–2009) Added in 2014: Alcides Ghiggia (1953–61) Carlo Ancelotti (1979–87) Rudi Völler (1987–92) Vincent Candela (1997–2005) Added in 2015: Guido Masetti (1930–43) Sergio Santarini (1968–81) Damiano Tommasi (1996–2006) Gabriel Batistuta (2000–03) Added in 2016: Giorgio Carpi (1927–37) Toninho Cerezo (1983–86) Giancarlo De Sisti (1960–65; 1974–79) Arcadio Venturi (1948–57) Added in 2017: Francesco Totti (1992–2017) Club records and statistics Francesco Totti currently holds Roma's official appearance record, having made 786 appearances in all competitions, over the course of 25 seasons from 1993 until 2017. He also holds the record for Serie A appearances with 619, as he passed Giacomo Losi on 1 March 2008 during a home match against Parma. Including all competitions, Totti is the all-time leading goalscorer for Roma with 307 goals since joining the club, 250 of which were scored in Serie A (another Roma record). Roberto Pruzzo, who was the all-time topscorer since 1988, comes in second in all competitions with 138. In 1930–31, Rodolfo Volk scored 29 goals in Serie A over the course of a single season. Not only was Volk the league's top scorer that year, he also set a Roma record for most goals scored in a season which would later be matched by Edin Džeko in 2016–17. Its major founders Fortitudo and Alba having been relegated at the end of 1926–27 campaign, new-founded Roma had to take part to Southern First Division championship (Serie B) for its inaugural season. Nevertheless, the FIGC decided on a special enlargement of first level division re-admitting AS Roma and SSC Napoli. The first ever official matches participated in by Roma was in the National Division, the predecessor of Serie A, of 1927–28, against Livorno, a 2–0 Roma win. The biggest ever victory recorded by Roma was 9–0 against Cremonese during the 1929–30 Serie A season. The heaviest defeat Roma have ever suffered is 1–7, which has occurred five times; against Juventus in 1931–32, Torino in 1947–48, Manchester United in 2006–07, Bayern Munich in 2014–15 and Fiorentina in 2018–19. Divisional movements UEFA club coefficient ranking As a company Since 1999, during Franco Sensi's period in charge, Associazione Sportiva Roma has been a listed Società per azioni on Borsa Italiana. From 2004 to 2011, Roma's shares are distributed between; 67.1% to Compagnia Italpetroli SpA (the Sensi family holding; Banca di Roma later acquired 49% stake on Italpetroli due to debt restructuring) and 32.9% to other public shareholders. Along with Lazio and Juventus, Roma is one of only three quotated Italian clubs. According to The Football Money League published by consultants Deloitte, in the 2010–11 season, Roma was the 15th highest-earning football club in the world with an estimated revenue of €143.5 million. In April 2008, after months of speculation, George Soros was confirmed by Rosella Sensi, CEO of Serie A club A.S. Roma, to be bidding for a takeover. The takeover bid was successively rejected by the Sensi family, who instead preferred to maintain the club's ownership. On 17 August 2008 club chairman and owner Franco Sensi died after a long illness; his place at the chairmanship of the club was successively taken by his daughter Rosella. Since the takeover in 2011, NEEP Roma Holding S.p.A. has owned all shares Sensi previously hold. NEEP, itself a joint venture, was held by DiBenedetto AS Roma LLC (later renamed to AS Roma SPV, LLC) and Unicredit in 60–40 ratio from 2011 to 2013, which the former had four real person shareholders in equal ratio, led by future Roma president Thomas R. DiBenedetto (2011–12). The takeover also activated a mandatory bid of shares from the general public, however not all minority shareholders were willing to sell their shares. The mandatory bid meant NEEP held 78.038% of shares of AS Roma (increased from 67.1% of the Sensi). On 1 August 2013, the president of Roma as well as one of the four American shareholders of AS Roma SPV, LLC, James Pallotta, bought an additional 9% shares of NEEP Roma Holding from Unicredit (through Raptor Holdco LLC), as the bank was not willing to fully participate in the capital increase of NEEP from €120,000 to €160,008,905 (excluding share premium). On 4 April 2014 Starwood Capital Group also became the fifth shareholder of AS Roma SPV, as well as forming a strategic partnership with AS Roma SpA to develop real estate around the new stadium. The private investment firm was represented by Zsolt Kohalmi in AS Roma SPV, who was appointed on 4 April as a partner and head of European acquisitions of the firm. On 11 August 2014, UniCredit sold the remain shares on NEEP (of 31%) for €33 million which meant AS Roma SPV LLC (91%) and Raptor Holdco LLC (9%) were the sole intermediate holding company of AS Roma SpA. Since re-capitalization in 2003–04, Roma had a short-lived financial self-sustainability, until the takeover in 2011. The club had set up a special amortisation fund using Articolo 18-bis Legge 91/1981 mainly for the abnormal signings prior 2002–03 season, (such as Davide Bombardini for €11 million account value in June 2002, when the flopped player exchange boosted 2001–02 season result) and the tax payment of 2002–03 was rescheduled. In 2004–05, Roma made a net profit of €10,091,689 and followed by €804,285 in 2005–06. In 2006–07 season the accounting method changed to IFRS, which meant that the 2005–06 result was reclassified as net loss of €4,051,905 and 2006–07 season was net income of €10,135,539 (€14.011 million as a group). Moreover, the special fund (€80,189,123) was removed from the asset and co-currently for the equity as scheduled, meant Roma group had a negative equity of €8.795 million on 30 June 2007. Nevertheless, the club had sold the brand to a subsidiary which boost the profit in a separate financial statement, which La Repubblica described as "doping". In 2007–08, Roma made a net income of €18,699,219. (€19 million as a group) However, 2008–09 saw the decrease of gate and TV income, co-currently with finishing sixth in Serie A, which saw Roma make a net loss of €1,894,330. (€1.56 million as a group) The gate and TV income further slipped in 2009–10 with a net loss of €21,917,292 (already boosted by the sale of Alberto Aquilani; €22 million as a group) despite sporting success (finishing in second place in 2009–10). Moreover, despite a positive equity as a separate company (€105,142,589), the AS Roma Group had a negative equity on the consolidated balance sheet, and fell from +€8.8 million to −€13.2 million. In the 2010–11 season, Roma was administrated by UniCredit as the Sensi family failed to repay the bank and the club was put on the market, and were expected to have a quiet transfer window. Concurrently with no selling profit on the players, Roma's net loss rose to €30,589,137 (€30.778 million as a group) and the new owner already planned a re-capitalization after the mandatory bid on the shares. On the positive side, TV income was increased from €75,150,744 to €78,041,642, and gate income increased from €23,821,218 to €31,017,179. This was because Roma entered 2010–11 Champions League, which counter-weighed the effect of the new collective agreement of Serie A. In 2011–12, the renewal of squad and participation in 2011–12 UEFA Europa League had worsened the financial result, which the €50 million capital increase (in advance) was counter-weighted totally by the net loss. In the 2012–13 season, the participation in domestic league only, was not only not harmful to the revenue but increase in gate income as well as decrease in wage bill, however Roma still did not yet break even (€40.130 million net loss in consolidated accounts). NEEP Roma also re-capitalized AS Roma in advance for another €26,550,000 during 2012–13. A proposed capital increase by €100 million for Roma was announced on 25 June 2014; however, until 22 May 2014, NEEP already injected €108 million into the club, which depends on public subscription; more than €8 million would convert to medium-long-term loan from shareholder instead of becoming share capital. Another capital increase was carried in 2018. A joint venture of Roma, which was owned by Roma (37.5%), S.S. Lazio (37.5%) and Parma F.C.(25%), Società Diritti Sportivi S.r.l., was in the process of liquidation since 2005. The company was a joint-venture of four football clubs, including Fiorentina. After the bankruptcy of Fiorentina however, both Roma and Lazio had increased their shares ratio from 25% to 37.5%. Another subsidiary, "Soccer S.A.S. di Brand Management S.r.l.", was a special-purpose entity (SPV) that Roma sold their brand to the subsidiary in 2007. In February 2015, another SPV, "ASR Media and Sponsorship S.r.l", was set up to secure a five-year bank loan of €175 million from Goldman Sachs, for three-month Euribor (min. 0.75%) + 6.25% spread (i.e. min. 7% interests rate p.a.). In 2015, Inter and Roma were the only two Italian clubs that were sanctioned by UEFA for breaking UEFA Financial Fair Play Regulations, which they signed settlement agreements with UEFA. It was followed by Milan in 2018. Roma had compliance with the requirements and overall objective of the settlement agreement in 2018, which the club exited from settlement regime. Superleague Formula A.S. Roma had a team in the Superleague Formula race car series where teams were sponsored by football clubs. Roma's driver was ex-IndyCar Series driver Franck Perera. The team had posted three podiums and was operated by Alan Docking Racing. See also Football in Italy European Club Association Footnotes References External links A.S. Roma at Serie A A.S. Roma at UEFA A.S. Roma at FIFA Association football clubs established in 1927 Companies listed on the Borsa Italiana Coppa Italia winning clubs Football clubs in Rome Italian football First Division clubs Publicly traded sports companies Serie A winning clubs Serie A clubs Serie B clubs 1927 establishments in Italy Multi-sport clubs in Italy
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Plum pudding model
eng_Latn
The plum pudding model is one of several historical scientific models of the atom. First proposed by J. J. Thomson in 1904 soon after the discovery of the electron, but before the discovery of the atomic nucleus, the model tried to explain two properties of atoms then known: that electrons are negatively charged particles and that atoms have no net electric charge. The plum pudding model has electrons surrounded by a volume of positive charge, like negatively charged "plums" embedded in a positively charged "pudding". Overview It had been known for many years that atoms contain negatively charged subatomic particles. Thomson called them "corpuscles" (particles), but they were more commonly called "electrons", the name which G. J. Stoney had coined for the "fundamental unit quantity of electricity" in 1891. It had also been known for many years that atoms have no net electric charge. Thomson held that atoms must also contain some positive charge that cancels out the negative charge of its electrons. Thomson published his proposed model in the March 1904 edition of the Philosophical Magazine, the leading British science journal of the day. In Thomson's view: ... the atoms of the elements consist of a number of negatively electrified corpuscles enclosed in a sphere of uniform positive electrification, ... J.J. Thomson had followed the work of Thomson Lord Kelvin who had written a paper proposing a vortex atom in 1867. J.J. Thomson abandoned his 1890 "nebular atom" hypothesis, which was based on the vortex theory of the atom, in which atoms were composed of immaterial vortices and suggested that there were similarities between the arrangement of vortices and periodic regularity found among the chemical elements. Being an astute and practical scientist, Thomson based his atomic model on known experimental evidence of the day, and in fact, followed Lord Kelvin's lead again as Kelvin had proposed a positive sphere atom a year earlier. J.J. Thomson's proposal based on Kelvin's model of a positive volume charge reflects the nature of his scientific approach to discovery which was to propose ideas to guide future experiments. In this model, the orbits of the electrons were stable under classical mechanics because when an electron moved away from the centre of the positively charged sphere, it was subjected to a greater net positive inward force, because there was more positive charge inside its orbit (see Gauss's law). Electrons were free to rotate in rings which were further stabilized by interactions among the electrons, and spectroscopic measurements were meant to account for energy differences associated with different electron rings. Thomson attempted unsuccessfully to reshape his model to account for some of the major spectral lines experimentally known for several elements. As early as 1897, theoretical physicist, Joseph Larmor had explained the splitting of the spectral lines in a magnetic field by the oscillation of electrons. According to a centennial celebration of the Bohr atom in Nature magazine, it was John William Nicholson in 1912 who first discovered that electrons radiate the spectral lines as they descend towards the nucleus and his theory was both nuclear and quantum. The plum pudding model usefully guided his student, Ernest Rutherford, to devise experiments to further explore the composition of atoms. Also, Thomson's model was an improvement upon previous solar system models of Joseph Larmor and the Saturnian ring model for atomic electrons put forward in 1904 by Nagaoka (after James Clerk Maxwell's model of Saturn's rings) as these could not withstand classical mechanics as in the solar system models the electrons would spiral into the nucleus, so they were dropped in favor of Thompson's model. However, all previous atomic models were useful as predecessors of the more correct 1913 solar-system-like Bohr model of the atom which Bohr references in his paper that he borrowed substantially from the 1912 nuclear model of John William Nicholson whose quantum atomic model quantized angular momentum as h/2. The Bohr Model was initially planar as the Nagaoka model, but Sommerfeld introduced elliptical orbits in the years 1914-1925 until the theory was overthrown by modern quantum mechanics. The colloquial nickname "plum pudding" was soon attributed to Thomson's model as the distribution of electrons within its positively charged region of space reminded many scientists of raisins, then called "plums", in the common English dessert, plum pudding. In 1909, Hans Geiger and Ernest Marsden conducted experiments with thin sheets of gold. Their professor, Ernest Rutherford, expected to find results consistent with Thomson's atomic model. It was not until 1911 that Rutherford correctly interpreted the experiment's results which implied the presence of a very small nucleus of positive charge at the center of each gold atom. This led to the development of the Rutherford model of the atom. Immediately after Rutherford published his results, Antonius Van den Broek made the intuitive proposal that the atomic number of an atom is the total number of units of charge present in its nucleus. Henry Moseley's 1913 experiments (see Moseley's law) provided the necessary evidence to support Van den Broek's proposal. The effective nuclear charge was found to be consistent with the atomic number (Moseley found only one unit of charge difference). This work culminated in the solar-system-like (but quantum-limited) Bohr model of the atom in the same year, in which a nucleus containing an atomic number of positive charges is surrounded by an equal number of electrons in orbital shells. As Thomson's model guided Rutherford's experiments, Bohr's model guided Moseley's research. Related scientific problems The plum pudding model with a single electron was used in part by the physicist Arthur Erich Haas in 1910 to estimate the numerical value of Planck's constant and the Bohr radius of hydrogen atoms. Haas' work estimated these values to within an order of magnitude and preceded the work of Niels Bohr by three years. Of note, the Bohr model itself provides reasonable predictions only for atomic and ionic systems with just one effective electron. A particularly useful mathematics problem related to the plum pudding model is the optimal distribution of equal point charges on a unit sphere, called the Thomson problem. The Thomson problem is a natural consequence of the plum pudding model in the absence of its uniform positive background charge. The classical electrostatic treatment of electrons confined to spherical quantum dots is also similar to their treatment in the plum pudding model. In this classical problem, the quantum dot is modeled as a simple dielectric sphere (in place of a uniform, positively charged sphere as in the plum pudding model) in which free, or excess, electrons reside. The electrostatic N-electron configurations are found to be exceptionally close to solutions found in the Thomson problem with electrons residing at the same radius within the dielectric sphere. Notably, the plotted distribution of geometry-dependent energetics has been shown to bear a remarkable resemblance to the distribution of anticipated electron orbitals in natural atoms as arranged on the periodic table of elements. Of great interest, solutions of the Thomson problem exhibit this corresponding energy distribution by comparing the energy of each N-electron solution with the energy of its neighbouring (N-1)-electron solution with one charge at the origin. However, when treated within a dielectric sphere model, the features of the distribution are much more pronounced and provide greater fidelity with respect to electron orbital arrangements in real atoms. References Foundational quantum physics
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Acts of Union 1707
eng_Latn
The Acts of Union () were two Acts of Parliament: the Union with Scotland Act 1706 passed by the Parliament of England, and the Union with England Act passed in 1707 by the Parliament of Scotland. They put into effect the terms of the Treaty of Union that had been agreed on 22 July 1706, following negotiation between commissioners representing the parliaments of the two countries. By the two Acts, the Kingdom of England and the Kingdom of Scotlandwhich at the time were separate states with separate legislatures, but with the same monarchwere, in the words of the Treaty, "United into One Kingdom by the Name of Great Britain". The two countries had shared a monarch since the Union of the Crowns in 1603, when King James VI of Scotland inherited the English throne from his double first cousin twice removed, Queen Elizabeth I. Although described as a Union of Crowns, and in spite of James's acknowledgement of his accession to a single Crown, England and Scotland were officially separate Kingdoms until 1707 (as opposed to the implied creation of a single unified Kingdom, exemplified by the later Kingdom of Great Britain). Prior to the Acts of Union there had been three previous attempts (in 1606, 1667, and 1689) to unite the two countries by Acts of Parliament, but it was not until the early 18th century that both political establishments came to support the idea, albeit for different reasons. The Acts took effect on 1 May 1707. On this date, the Scottish Parliament and the English Parliament united to form the Parliament of Great Britain, based in the Palace of Westminster in London, the home of the English Parliament. Hence, the Acts are referred to as the Union of the Parliaments. Political background prior to 1707 1603–1660 Prior to 1603, England and Scotland had different monarchs; as Elizabeth I never married, after 1567, her heir-presumptive became the Stuart king of Scotland, James VI, who was brought up as a Protestant. After her death, the two Crowns were held in personal union by James, as James I of England, and James VI of Scotland. He announced his intention to unite the two, using the royal prerogative to take the title "King of Great Britain", and give a British character to his court and person. The 1603 Union of England and Scotland Act established a joint Commission to agree terms, but the English Parliament was concerned this would lead to the imposition of an absolutist structure similar to that of Scotland. James was forced to withdraw his proposals, and attempts to revive it in 1610 were met with hostility. Instead, he set about creating a unified Church of Scotland and England, as the first step towards a centralised, Unionist state. However, despite both being nominally Episcopalian in structure, the two were very different in doctrine; the Church of Scotland, or kirk, was Calvinist in doctrine, and viewed many Church of England practices as little better than Catholicism. As a result, attempts to impose religious policy by James and his son Charles I ultimately led to the 1639–1651 Wars of the Three Kingdoms. The 1639–1640 Bishops' Wars confirmed the primacy of the kirk, and established a Covenanter government in Scotland. The Scots remained neutral when the First English Civil War began in 1642, before becoming concerned at the impact on Scotland of a Royalist victory. Presbyterian leaders like Argyll viewed union as a way to ensure free trade between England and Scotland, and preserve a Presbyterian kirk. Under the 1643 Solemn League and Covenant, the Covenanters agreed to provide military support for the English Parliament, in return for religious union. Although the treaty referred repeatedly to 'union' between England, Scotland, and Ireland, political union had little support outside the Kirk Party. Even religious union was opposed by the Episcopalian majority in the Church of England, and Independents like Oliver Cromwell, who dominated the New Model Army. The Scots and English Presbyterians were political conservatives, who increasingly viewed the Independents, and associated radical groups like the Levellers, as a bigger threat than the Royalists. Both Royalists and Presbyterians agreed monarchy was divinely ordered, but disagreed on the nature and extent of Royal authority over the church. When Charles I surrendered in 1646, they allied with their former enemies to restore him to the English throne. After defeat in the 1647–1648 Second English Civil War, Scotland was occupied by English troops which were withdrawn once the so-called Engagers whom Cromwell held responsible for the war had been replaced by the Kirk Party. In December 1648, Pride's Purge confirmed Cromwell's political control in England by removing Presbyterian MPs from Parliament, and executing Charles in January 1649. Seeing this as sacrilege, the Kirk Party proclaimed Charles II King of Scotland and Great Britain, and agreed to restore him to the English throne. Defeat in the 1649–1651 Third English Civil War or Anglo-Scottish War resulted in Scotland's incorporation into the Commonwealth of England, Scotland and Ireland, largely driven by Cromwell's determination to break the power of the kirk, which he held responsible for the Anglo-Scottish War. The 1652 Tender of Union was followed on 12 April 1654 by An Ordinance by the Protector for the Union of England and Scotland, creating the Commonwealth of England, Scotland and Ireland. It was ratified by the Second Protectorate Parliament on 26 June 1657, creating a single Parliament in Westminster, with 30 representatives each from Scotland and Ireland added to the existing English members. 1660–1707 While integration into the Commonwealth established free trade between Scotland and England, the economic benefits were diminished by the costs of military occupation. Both Scotland and England associated union with heavy taxes and military rule; it had little popular support in either country, and was dissolved after the Restoration of Charles II in 1660. The Scottish economy was badly damaged by the English Navigation Acts of 1660 and 1663 and England's wars with the Dutch Republic, Scotland's major export market. An Anglo-Scots Trade Commission was set up in January 1668 but the English had no interest in making concessions, as the Scots had little to offer in return. In 1669, Charles II revived talks on political union; his motives were to weaken Scotland's commercial and political links with the Dutch, still seen as an enemy and complete the work of his grandfather James I. Continued opposition meant these negotiations were abandoned by the end of 1669. Following the Glorious Revolution of 1688, a Scottish Convention met in Edinburgh in April 1689 to agree a new constitutional settlement; during which the Scottish Bishops backed a proposed union in an attempt to preserve Episcopalian control of the kirk. William and Mary were supportive of the idea but it was opposed both by the Presbyterian majority in Scotland and the English Parliament. Episcopacy in Scotland was abolished in 1690, alienating a significant part of the political class; it was this element that later formed the bedrock of opposition to Union. The 1690s were a time of economic hardship in Europe as a whole and Scotland in particular, a period now known as the Seven ill years which led to strained relations with England. In 1698, the Company of Scotland Trading to Africa and the Indies received a charter to raise capital through public subscription. The Company invested in the Darién scheme, an ambitious plan funded almost entirely by Scottish investors to build a colony on the Isthmus of Panama for trade with East Asia. The scheme was a disaster; the losses of over £150,000 severely impacted the Scottish commercial system. Political motivations The Acts of Union may be seen within a wider European context of increasing state centralisation during the late 17th and early 18th centuries, including the monarchies of France, Sweden, Denmark and Spain. While there were exceptions, such as the Dutch Republic or the Republic of Venice, the trend was clear. The dangers of the monarch using one Parliament against the other first became apparent in 1647 and 1651. It resurfaced during the 1679 to 1681 Exclusion Crisis, caused by English resistance to the Catholic James II (of England, VII of Scotland) succeeding his brother Charles. James was sent to Edinburgh in 1681 as Lord High Commissioner; in August, the Scottish Parliament passed the Succession Act, confirming the divine right of kings, the rights of the natural heir "regardless of religion", the duty of all to swear allegiance to that king, and the independence of the Scottish Crown. It then went beyond ensuring James's succession to the Scottish throne by explicitly stating the aim was to make his exclusion from the English throne impossible without "the fatall and dreadfull consequences of a civil war". The issue reappeared during the 1688 Glorious Revolution. The English Parliament generally supported replacing James with his Protestant daughter Mary, but resisted making her Dutch husband William of Orange joint ruler. They gave way only when he threatened to return to the Netherlands, and Mary refused to rule without him. In Scotland, conflict over control of the kirk between Presbyterians and Episcopalians and William's position as a fellow Calvinist put him in a much stronger position. He originally insisted on retaining Episcopacy, and the Committee of the Articles, an unelected body that controlled what legislation Parliament could debate. Both would have given the Crown far greater control than in England but he withdrew his demands due to the 1689–1692 Jacobite Rising. English perspective The English succession was provided for by the English Act of Settlement 1701, which ensured that the monarch of England would be a Protestant member of the House of Hanover. Until the Union of Parliaments, the Scottish throne might be inherited by a different successor after Queen Anne, who had said in her first speech to the English parliament that a Union was "very necessary". The Scottish Act of Security 1704, however, was passed after the English parliament, without consultation with Scotland, had designated Electoress Sophia of Hanover (granddaughter of James I and VI) as Anne's successor, if Anne died childless. The Act of Security granted the Parliament of Scotland, the three Estates, the right to choose a successor and explicitly required a choice different from the English monarch unless the English were to grant free trade and navigation. Next the Alien Act 1705 was passed in the English parliament designating Scots in England as "foreign nationals" and blocking about half of all Scottish trade by boycotting exports to England or its colonies, unless Scotland came back to negotiate a Union. To encourage a Union, "honours, appointments, pensions and even arrears of pay and other expenses were distributed to clinch support from Scottish peers and MPs". Scottish perspective The Scottish economy was severely impacted by privateers during the 1688–1697 Nine Years' War and the 1701 War of the Spanish Succession, with the Royal Navy focusing on protecting English ships. This compounded the economic pressure caused by the Darien scheme, and the seven ill years of the 1690s, when 5–15% of the population died of starvation. The Scottish Parliament was promised financial assistance, protection for its maritime trade, and an end to economic restrictions on trade with England. The votes of the Court party, influenced by Queen Anne's favourite, the Duke of Queensberry, combined with the majority of the Squadrone Volante, were sufficient to ensure passage of the treaty. Article 15 granted £398,085 and ten shillings sterling to Scotland, a sum known as The Equivalent, to offset future liability towards the English national debt, which at the time was £18 million, but as Scotland had no national debt, most of the sum was used to compensate the investors in the Darien scheme, with 58.6% of the fund allocated to its shareholders and creditors. The role played by bribery has long been debated; £20,000 was distributed by the Earl of Glasgow, of which 60% went to James Douglas, 2nd Duke of Queensberry, the Queen's Commissioner in Parliament. Another negotiator, Argyll was given an English peerage. Robert Burns is commonly quoted in support of the argument of corruption: "We're bought and sold for English Gold, Such a Parcel of Rogues in a Nation." As historian Christopher Whatley points out, this was actually a 17th-century Scots folk song; but he agrees money was paid, though suggests the economic benefits were supported by most Scots MPs, with the promises made for benefits to peers and MPs, even if it was reluctantly. Professor Sir Tom Devine agreed that promises of "favours, sinecures, pensions, offices and straightforward cash bribes became indispensable to secure government majorities". As for representation going forwards, Scotland was, in the new united parliament, only to get 45 MPs, one more than Cornwall, and only 16 (unelected) peers in the House of Lords. Sir George Lockhart of Carnwath, the only Scottish negotiator to oppose Union, noted "the whole nation appears against (it)". Another negotiator, Sir John Clerk of Penicuik, who was an ardent Unionist, observed it was "contrary to the inclinations of at least three-fourths of the Kingdom". As the seat of the Scottish Parliament, demonstrators in Edinburgh feared the impact of its loss on the local economy. Elsewhere, there was widespread concern about the independence of the kirk, and possible tax rises. As the Treaty passed through the Scottish Parliament, opposition was voiced by petitions from shires, burghs, presbyteries and parishes. The Convention of Royal Burghs claimed Not one petition in favour of Union was received by Parliament. On the day the treaty was signed, the carillonneur in St Giles Cathedral, Edinburgh, rang the bells in the tune "Why should I be so sad on my wedding day?" Threats of widespread civil unrest resulted in Parliament imposing martial law. Irish perspective Ireland, though a kingdom under the same crown, was not included in the union. It remained a separate kingdom, unrepresented in Parliament, and was legally subordinate to Great Britain until 1784. In July 1707 each House of the Parliament of Ireland passed a congratulatory address to Queen Anne, praying that "May God put it in your royal heart to add greater strength and lustre to your crown, by a still more comprehensive Union". The British government did not respond to the invitation and an equal union between Great Britain and Ireland was out of consideration until the 1790s. The union with Ireland finally came about on 1 January 1801. Treaty and passage of the 1707 Acts Deeper political integration had been a key policy of Queen Anne from the time she acceded to the throne in 1702. Under the aegis of the Queen and her ministers in both kingdoms, the parliaments of England and Scotland agreed to participate in fresh negotiations for a union treaty in 1705. Both countries appointed 31 commissioners to conduct the negotiations. Most of the Scottish commissioners favoured union, and about half were government ministers and other officials. At the head of the list was Queensberry, and the Lord Chancellor of Scotland, the Earl of Seafield. The English commissioners included the Lord High Treasurer, the Earl of Godolphin, the Lord Keeper, Baron Cowper, and a large number of Whigs who supported union. Tories were not in favour of union and only one was represented among the commissioners. Negotiations between the English and Scottish commissioners took place between 16 April and 22 July 1706 at the Cockpit in London. Each side had its own particular concerns. Within a few days, and with only one face to face meeting of all 62 commissioners, England had gained a guarantee that the Hanoverian dynasty would succeed Queen Anne to the Scottish crown, and Scotland received a guarantee of access to colonial markets, in the hope that they would be placed on an equal footing in terms of trade. After negotiations ended in July 1706, the acts had to be ratified by both Parliaments. In Scotland, about 100 of the 227 members of the Parliament of Scotland were supportive of the Court Party. For extra votes the pro-court side could rely on about 25 members of the Squadrone Volante, led by the Marquess of Montrose and the Duke of Roxburghe. Opponents of the court were generally known as the Country party, and included various factions and individuals such as the Duke of Hamilton, Lord Belhaven and Andrew Fletcher of Saltoun, who spoke forcefully and passionately against the union, when the Scottish Parliament began its debate on the act in on 3 October 1706, but the deal had already been done. The Court party enjoyed significant funding from England and the Treasury and included many who had accumulated debts following the Darien Disaster. The Act ratifying the Treaty of Union was finally carried in the Parliament of Scotland by 110 votes to 69 on 16 January 1707, with a number of key amendments. News of the ratification and of the amendments was received in Westminster, where the Act was passed quickly through both Houses and received the royal assent on 6 March.<ref>Macrae, The Rev. Alexander: Scotland Since the Union' (1902)</ref> Though the English Act was later in date, it bore the year '1706' while Scotland's was '1707', as the legal year in England began only on 25 March. In Scotland, the Duke of Queensberry was largely responsible for the successful passage of the Union act by the Parliament of Scotland. In Scotland, he also received much criticism from local residents, but in England he was cheered for his action. He had personally received around half of the funding awarded by the Westminster Treasury for himself. In April 1707, he travelled to London to attend celebrations at the royal court, and was greeted by groups of noblemen and gentry lined along the road. From Barnet, the route was lined with crowds of cheering people, and once he reached London a huge crowd had formed. On 17 April, the Duke was gratefully received by the Queen at Kensington Palace. Provisions The Treaty of Union, agreed between representatives of the Parliament of England and the Parliament of Scotland in 1706, consisted of 25 articles, 15 of which were economic in nature. In Scotland, each article was voted on separately and several clauses in articles were delegated to specialised subcommittees. Article 1 of the treaty was based on the political principle of an incorporating union and this was secured by a majority of 116 votes to 83 on 4 November 1706. To minimise the opposition of the Church of Scotland, an Act was also passed to secure the Presbyterian establishment of the Church, after which the Church stopped its open opposition, although hostility remained at lower levels of the clergy. The treaty as a whole was finally ratified on 16 January 1707 by a majority of 110 votes to 69. The two Acts incorporated provisions for Scotland to send representative peers from the Peerage of Scotland to sit in the House of Lords. It guaranteed that the Church of Scotland would remain the established church in Scotland, that the Court of Session would "remain in all time coming within Scotland", and that Scots law would "remain in the same force as before". Other provisions included the restatement of the Act of Settlement 1701 and the ban on Roman Catholics from taking the throne. It also created a customs union and monetary union. The Act provided that any "laws and statutes" that were "contrary to or inconsistent with the terms" of the Act would "cease and become void". Related Acts The Scottish Parliament also passed the Protestant Religion and Presbyterian Church Act 1707 guaranteeing the status of the Presbyterian Church of Scotland. The English Parliament passed a similar Act, 6 Anne c.8. Soon after the Union, the Act 6 Anne c.40later named the Union with Scotland (Amendment) Act 1707united the English and Scottish Privy Councils and decentralised Scottish administration by appointing justices of the peace in each shire to carry out administration. In effect it took the day-to-day government of Scotland out of the hands of politicians and into those of the College of Justice. On 18 December 1707 the Act for better Securing the Duties of East India Goods was passed which extended the monopoly of the East India Company to Scotland. In the year following the Union, the Treason Act 1708 abolished the Scottish law of treason and extended the corresponding English law across Great Britain. Evaluations Scotland benefited, says historian G.N. Clark, gaining "freedom of trade with England and the colonies" as well as "a great expansion of markets". The agreement guaranteed the permanent status of the Presbyterian church in Scotland, and the separate system of laws and courts in Scotland. Clark argued that in exchange for the financial benefits and bribes that England bestowed, what it gained was of inestimable value. Scotland accepted the Hanoverian succession and gave up her power of threatening England's military security and complicating her commercial relations ... The sweeping successes of the eighteenth-century wars owed much to the new unity of the two nations. By the time Samuel Johnson and James Boswell made their tour in 1773, recorded in A Journey to the Western Islands of Scotland, Johnson noted that Scotland was "a nation of which the commerce is hourly extending, and the wealth increasing" and in particular that Glasgow had become one of the greatest cities of Britain. 300th anniversary A commemorative two-pound coin was issued to mark the tercentennial—300th anniversary—of the Union, which occurred two days before the Scottish Parliament general election on 3 May 2007. The Scottish Government held a number of commemorative events through the year including an education project led by the Royal Commission on the Ancient and Historical Monuments of Scotland, an exhibition of Union-related objects and documents at the National Museums of Scotland and an exhibition of portraits of people associated with the Union at the National Galleries of Scotland. Scottish voting records See also Acts of Union 1800 (King of Great Britain with Kingdom of Ireland) Kingdom of Ireland English independence History of democracy List of treaties MacCormick v Lord Advocate Parliament of the United Kingdom Political union Real union Scottish independence Unionism in Scotland Welsh independence Notes References Sources and further reading Campbell, R. H. “The Anglo-Scottish Union of 1707. II. The Economic Consequences.” Economic History Review vol. 16, no. 3, 1964, pp. 468–477 online Smout, T. C. “The Anglo-Scottish Union of 1707. I. The Economic Background.” Economic History Review vol. 16, no. 3, 1964, pp. 455–467. online Other books Defoe, Daniel. A tour thro' the Whole Island of Great Britain, 1724–27 Defoe, Daniel. The Letters of Daniel Defoe, GH Healey editor. Oxford: 1955. Fletcher, Andrew (Saltoun). An Account of a Conversation'' Lockhart, George, "The Lockhart Papers", 1702–1728 External links Union with England Act and Union with Scotland Act – Full original text Treaty of Union and the Darien Experiment, University of Guelph, McLaughlin Library, Library and Archives Canada Union with England Act 1707, from Records of the Parliaments of Scotland Image of original act from the Parliamentary Archives website 1706 in England 1706 in law 1707 in law 1707 in Great Britain 1707 in Scotland Acts of the Parliament of England Acts of the Parliament of England still in force Acts of the Parliament of Scotland Unionism in the United Kingdom Constitutional laws of the United Kingdom England–Scotland relations Political history of Great Britain National unifications Political charters Unionism in Scotland Treaties of England Treaties of Scotland 1707 in British law 1706 in politics Church of Scotland
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Sacrifice fly
eng_Latn
In baseball, a sacrifice fly (sometimes abbreviated to sac fly) is defined by Rule 9.08(d): "Score a sacrifice fly when, before two are out, the batter hits a ball in flight handled by an outfielder or an infielder running in the outfield in fair or foul territory that is caught, and a run scores after the catch, or is dropped, and a runner scores, if in the scorer's judgment the runner could have scored after the catch had the fly ball been caught." It is called a "sacrifice" fly because the batter allows a teammate to score a run, while sacrificing his own ability to do so. Sacrifice flies are traditionally recorded in box scores with the designation "SF". Rules As addressed within Rule 9.02(a)(1) of the Official Baseball Rules a sacrifice fly is not counted as a time at bat for the batter, though the batter is credited with a run batted in. The same is true with a bases-loaded walk. The purpose of not counting a sacrifice fly as an at-bat is to avoid penalizing hitters for a successful action. The sacrifice fly is one of two instances in baseball where a batter is not charged with a time at bat after putting a ball in play; the other is the sacrifice hit (also known as a sacrifice bunt). But, while a sacrifice fly does not affect a player's batting average, it counts as a plate appearance and lowers his on-base percentage. A player on a hitting streak will have the hit streak end if he has no official at-bats but has a sacrifice fly. Unlike a sacrifice bunt, which may be scored if a runner advances from any base to any base, a sacrifice fly is only credited if a runner scores on the play. Therefore, when a runner on first or second base tags on a fly ball and advances no further than third base, no sacrifice is given and the batter is charged with an at-bat. Also, if a runner tags and advances from second base (or, theoretically, from first base) all the way to home and scores (without an intervening error) the batter is credited with a sacrifice fly, as well as a second RBI if a runner on third also scores. At the professional level this will only typically occur in unusual circumstances that prevent the defense from making an immediate throw back to the infield, such as an outfielder colliding with the wall while making a catch on the warning track. The sacrifice fly is credited even if another runner is put out so long as the run scores. The sacrifice fly is credited on a dropped ball even if another runner is forced out by reason of the batter becoming a runner. On any fly ball, a runner can initiate an attempt to advance bases as soon as a fielder touches the ball by tagging up, even before the fielder has full control of the ball. Records The most sacrifice flies by a team in one game in Major League Baseball (MLB) is five; the record was established by the Seattle Mariners in 1988, tied by the Colorado Rockies in 2006, and tied again by the Mariners in 2008. Five MLB teams have collected three sacrifice flies in an inning: the Chicago White Sox (fifth inning, July 1, 1962 against the Cleveland Indians); the New York Yankees twice (fourth inning, June 29, 2000 against the Detroit Tigers and third inning, August 19, 2000 against the Anaheim Angels); the New York Mets (second inning, June 24, 2005 against the Yankees); and the Houston Astros (seventh inning, June 26, 2005 against the Texas Rangers). In these cases one or more of the flies did not result in a putout due to an error. Since the rule was reinstated in its present form in MLB in 1954, Gil Hodges of the Dodgers holds the record for most sacrifice flies in one season with 19, in 1954; Eddie Murray holds the MLB record for most sacrifice flies in a career with 128. As of the end of the 2021 Major League Baseball season, the ten players who had hit the most sacrifice flies were as follows: Eddie Murray (128) Cal Ripken, Jr. (127) Robin Yount (123) Hank Aaron (121) Frank Thomas (121) George Brett (120) Rubén Sierra (120) Rafael Palmeiro (119) Rusty Staub (119) Andre Dawson (118) Only once has the World Series been won on a sac fly. In 1912, Larry Gardner of the Boston Red Sox hit a fly ball off a pitch from the New York Giants' Christy Mathewson. Steve Yerkes tagged up and scored from third base to win game 8 in the tenth inning and take the series for the Red Sox. History Batters have not been charged with a time at-bat for a sacrifice hit since 1893, but baseball has changed the sacrifice fly rule multiple times. The sacrifice fly as a statistical category was instituted in 1908, only to be discontinued in 1931. The rule was again adopted in 1939, only to be eliminated again in 1940, before being adopted for the last time in 1954. For some baseball fans, it is significant that the sacrifice-fly rule was eliminated in 1940 because, in 1941, Ted Williams was hitting .39955 on the last day of the season and needed one hit in a doubleheader against the Philadelphia A's to become the first hitter since Bill Terry in 1930 to hit .400. He got six hits, finishing with an official .406 average, the last major leaguer in nearly 80 years now to bat .400 or more. In his book, Baseball in '41, author Robert Creamer, citing estimates, points out that if Williams' 14 at-bats on sacrifice flies that year were deducted from the 456 official at-bats he was charged with, his final average in 1941 would have been .419. References External links MLB Official Rules from the Major League Baseball website Baseball Rules Chronology, from Baseball Library The Sacrifice Fly, from the SABR web site (Research Journals Archive) Baseball plays Batting (baseball)
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National Baseball Hall of Fame and Museum
eng_Latn
The National Baseball Hall of Fame and Museum is a history museum and hall of fame in Cooperstown, New York, operated by private interests. It serves as the central point of the history of baseball in the United States and displays baseball-related artifacts and exhibits, honoring those who have excelled in playing, managing, and serving the sport. The Hall's motto is "Preserving History, Honoring Excellence, Connecting Generations". Cooperstown is often used as shorthand (or a metonym) for the National Baseball Hall of Fame and Museum, similar to "Canton" for the Pro Football Hall of Fame in Canton, Ohio. The Hall of Fame was established in 1939 by Stephen Carlton Clark, an heir to the Singer Sewing Machine fortune. Clark sought to bring tourists to a city hurt by the Great Depression, which reduced the local tourist trade, and Prohibition, which devastated the local hops industry. Clark constructed the Hall of Fame's building, and it was dedicated on June 12, 1939. (His granddaughter, Jane Forbes Clark, is the current chairman of the board of directors.) The erroneous claim that Civil War hero Abner Doubleday invented baseball in Cooperstown was instrumental in the early marketing of the Hall. An expanded library and research facility opened in 1994. Dale Petroskey became the organization's president in 1999. In 2002, the Hall launched Baseball as America, a traveling exhibit that toured ten American museums over six years. The Hall of Fame has since also sponsored educational programming on the Internet to bring the Hall of Fame to schoolchildren who might not visit. The Hall and Museum completed a series of renovations in spring 2005. The Hall of Fame also presents an annual exhibit at FanFest at the Major League Baseball All-Star Game. The San Francisco Giants have the most inductees, with 66. Inductees Among baseball fans, "Hall of Fame" means not only the museum and facility in Cooperstown, New York, but the pantheon of players, managers, umpires, executives, and pioneers who have been inducted into the Hall. The first five men elected were Ty Cobb, Babe Ruth, Honus Wagner, Christy Mathewson and Walter Johnson, chosen in 1936; roughly 20 more were selected before the entire group was inducted at the Hall's 1939 opening. , 340 people had been elected to the Hall of Fame, including 239 former Major League Baseball players, 39 Negro league baseball players and executives, 23 managers, 10 umpires, and 36 pioneers, executives, and organizers; 118 members of the Hall of Fame have been inducted posthumously, including four who died after their selection was announced. Of the 39 Negro league members, 31 were inducted posthumously, including all 26 selected since the 1990s. The Hall of Fame includes one female member, Effa Manley. The newest members to be inducted on July 24, 2022, are players David Ortiz, Tony Oliva, Jim Kaat, Gil Hodges and Minnie Minoso, as well as executives Buck O'Neil and Bud Fowler, Former Yankees closer Mariano Rivera was the first player ever to be elected unanimously. Derek Jeter, Marvin Miller, Ted Simmons, and Larry Walker were all originally scheduled to be inducted in 2020, but their induction ceremony was re-scheduled and subsequently held on July 24, 2021, due to the COVID-19 pandemic. On June 21, 2021, it was announced that the induction ceremony for the 2020 class would be open to the public as previous years had been, due to the lifting of various COVID-19 restrictions. Selection process Players are currently inducted into the Hall of Fame through election by either the Baseball Writers' Association of America (or BBWAA), or the Veterans Committee, which now consists of four subcommittees, each of which considers and votes for candidates from a separate era of baseball. Five years after retirement, any player with 10 years of major league experience who passes a screening committee (which removes from consideration players of clearly lesser qualification) is eligible to be elected by BBWAA members with 10 years' membership or more who also have been actively covering MLB at any time in the 10 years preceding the election (the latter requirement was added for the 2016 election). From a final ballot typically including 25–40 candidates, each writer may vote for up to 10 players; until the late 1950s, voters were advised to cast votes for the maximum 10 candidates. Any player named on 75% or more of all ballots cast is elected. A player who is named on fewer than 5% of ballots is dropped from future elections. In some instances, the screening committee had restored their names to later ballots, but in the mid-1990s, dropped players were made permanently ineligible for Hall of Fame consideration, even by the Veterans Committee. A 2001 change in the election procedures restored the eligibility of these dropped players; while their names will not appear on future BBWAA ballots, they may be considered by the Veterans Committee. Players receiving 5% or more of the votes but fewer than 75% are reconsidered annually until a maximum of ten years of eligibility (lowered from fifteen years for the 2015 election). Under special circumstances, certain players may be deemed eligible for induction even though they have not met all requirements. Addie Joss was elected in 1978, despite only playing nine seasons before he died of meningitis. Additionally, if an otherwise eligible player dies before his fifth year of retirement, then that player may be placed on the ballot at the first election at least six months after his death. Roberto Clemente's induction in 1973 set the precedent when the writers chose to put him up for consideration after his death on New Year's Eve, 1972. The five-year waiting period was established in 1954 after an evolutionary process. In 1936 all players were eligible, including active ones. From the 1937 election until the 1945 election, there was no waiting period, so any retired player was eligible, but writers were discouraged from voting for current major leaguers. Since there was no formal rule preventing a writer from casting a ballot for an active player, the scribes did not always comply with the informal guideline; Joe DiMaggio received a vote in 1945, for example. From the 1946 election until the 1954 election, an official one-year waiting period was in effect. (DiMaggio, for example, retired after the 1951 season and was first eligible in the 1953 election.) The modern rule establishing a wait of five years was passed in 1954, although those who had already been eligible under the old rule were grandfathered into the ballot, thus permitting Joe DiMaggio to be elected within four years of his retirement. Contrary to popular belief, no formal exception was made for Lou Gehrig (other than to hold a special one-man election for him): there was no waiting period at that time, and Gehrig met all other qualifications, so he would have been eligible for the next regular election after he retired during the 1939 season. However, the BBWAA decided to hold a special election at the 1939 Winter Meetings in Cincinnati, specifically to elect Gehrig (most likely because it was known that he was terminally ill, making it uncertain that he would live long enough to see another election). Nobody else was on that ballot, and the numerical results have never been made public. Since no elections were held in 1940 or 1941, the special election permitted Gehrig to enter the Hall while still alive. If a player fails to be elected by the BBWAA within 10 years of his retirement from active play, he may be selected by the Veterans Committee. Following changes to the election process for that body made in 2010 and 2016, it is now responsible for electing all otherwise eligible candidates who are not eligible for the BBWAA ballot — both long-retired players and non-playing personnel (managers, umpires, and executives). From 2011 to 2016, each candidate could be considered once every three years; now, the frequency depends on the era in which an individual made his greatest contributions. A more complete discussion of the new process is available below. From 2008 to 2010, following changes made by the Hall in July 2007, the main Veterans Committee, then made up of living Hall of Famers, voted only on players whose careers began in 1943 or later. These changes also established three separate committees to select other figures: One committee voted on managers and umpires for induction in every even-numbered year. This committee voted only twice—in 2007 for induction in 2008 and in 2009 for induction in 2010. One committee voted on executives and builders for induction in every even-numbered year. This committee conducted its only two votes in the same years as the managers/umpires committee. The pre–World War II players committee was intended to vote every five years on players whose careers began in 1942 or earlier. It conducted its only vote as part of the election process for induction in 2009. Players of the Negro leagues have also been considered at various times, beginning in 1971. In 2005, the Hall completed a study on African American players between the late 19th century and the integration of the major leagues in 1947, and conducted a special election for such players in February 2006; seventeen figures from the Negro leagues were chosen in that election, in addition to the eighteen previously selected. Following the 2010 changes, Negro leagues figures were primarily considered for induction alongside other figures from the 1871–1946 era, called the "Pre-Integration Era" by the Hall; since 2016, Negro leagues figures are primarily considered alongside other figures from what the Hall calls the "Early Baseball" era (1871–1949). Predictably, the selection process catalyzes endless debate among baseball fans over the merits of various candidates. Even players elected years ago remain the subjects of discussions as to whether they deserved election. For example, Bill James' 1994 book Whatever Happened to the Hall of Fame? goes into detail about who he believes does and does not belong in the Hall of Fame. Non-induction of banned players The selection rules for the Baseball Hall of Fame were modified to prevent the induction of anyone on Baseball's "permanently ineligible" list, such as Pete Rose or "Shoeless Joe" Jackson. Many others have been barred from participation in MLB, but none have Hall of Fame qualifications on the level of Jackson or Rose. Jackson and Rose were both banned from MLB for life for actions related to gambling on their own teams—Jackson was determined to have cooperated with those who conspired to intentionally lose the 1919 World Series, and for accepting payment for losing, and Rose voluntarily accepted a permanent spot on the ineligible list in return for MLB's promise to make no official finding in relation to alleged betting on the Cincinnati Reds when he was their manager in the 1980s. (Baseball's Rule 21, prominently posted in every clubhouse locker room, mandates permanent banishment from the MLB for having a gambling interest of any sort on a game in which a player or manager is directly involved.) Rose later admitted that he bet on the Reds in his 2004 autobiography. Baseball fans are deeply split on the issue of whether these two should remain banned or have their punishment revoked. Writer Bill James, though he advocates Rose eventually making it into the Hall of Fame, compared the people who want to put Jackson in the Hall of Fame to "those women who show up at murder trials wanting to marry the cute murderer". Changes to Veterans Committee process The actions and composition of the Veterans Committee have been at times controversial, with occasional selections of contemporaries and teammates of the committee members over seemingly more worthy candidates. In 2001, the Veterans Committee was reformed to comprise the living Hall of Fame members and other honorees. The revamped Committee held three elections, in 2003 and 2007, for both players and non-players, and in 2005 for players only. No individual was elected in that time, sparking criticism among some observers who expressed doubt whether the new Veterans Committee would ever elect a player. The Committee members, most of whom were Hall members, were accused of being reluctant to elect new candidates in the hope of heightening the value of their own selection. After no one was selected for the third consecutive election in 2007, Hall of Famer Mike Schmidt noted, "The same thing happens every year. The current members want to preserve the prestige as much as possible, and are unwilling to open the doors." In 2007, the committee and its selection processes were again reorganized; the main committee then included all living members of the Hall, and voted on a reduced number of candidates from among players whose careers began in 1943 or later. Separate committees, including sportswriters and broadcasters, would select umpires, managers and executives, as well as players from earlier eras. In the first election to be held under the 2007 revisions, two managers and three executives were elected in December 2007 as part of the 2008 election process. The next Veterans Committee elections for players were held in December 2008 as part of the 2009 election process; the main committee did not select a player, while the panel for pre–World War II players elected Joe Gordon in its first and ultimately only vote. The main committee voted as part of the election process for inductions in odd-numbered years, while the pre-World War II panel would vote every five years, and the panel for umpires, managers, and executives voted as part of the election process for inductions in even-numbered years. Further changes to the Veterans Committee process were announced by the Hall on July 26, 2010, effective with the 2011 election. All individuals eligible for induction but not eligible for BBWAA consideration were considered on a single ballot, grouped by the following eras in which they made their greatest contributions: Pre-Integration Era (1871–1946) Golden Era (1947–1972) Expansion Era (1973 and later) The Hall used the BBWAA's Historical Overview Committee to formulate the ballots for each era, consisting of 12 individuals for the Expansion Era and 10 for the other eras. The Hall's board of directors selected a committee of 16 voters for each era, made up of Hall of Famers, executives, baseball historians, and media members. Each committee met and voted at the Baseball Winter Meetings once every three years. The Expansion Era committee held its first vote in 2010 for 2011 induction, with longtime general manager Pat Gillick becoming the first individual elected under the new procedure. The Golden Era committee voted in 2011 for the induction class of 2012, with Ron Santo becoming the first player elected under the new procedure. The Pre-Integration Era committee voted in 2012 for the induction class of 2013, electing three figures. Subsequent elections rotated among the three committees in that order through the 2016 election. In July 2016, the Hall of Fame announced a restructuring of the timeframes to be considered, with a much greater emphasis on modern eras. Four new committees were established: Today's Game (1988–present) Modern Baseball (1970–1987) Golden Days (1950–1969) Early Baseball (1871–1949) All committees' ballots now include 10 candidates. At least one committee is scheduled to convene each December as part of the election process for the following calendar year's induction ceremony. Due to the COVID-19 pandemic, the December 2020 meetings of the Early Baseball and Golden Days committees were postponed, apparently pushing back the rotation of all committee meetings by a year. The eligibility criteria for Era Committee consideration differ between players, managers, and executives. Players: When a player is no longer eligible on the BBWAA ballot (either 15 years after retirement—five-year period and the 10 years after he first becomes eligible to appear on the BBWAA ballot or when the player is not eligible after earning less than five percent of the BBWAA ballot during a year), he will be considered by the respective committee. The Hall has not yet established a policy on when players who die while active or during the standard 5-year waiting period for BBWAA eligibility will be eligible for committee consideration. As noted earlier, such players become eligible for the BBWAA ballot 6 months after their deaths. Managers and umpires who have served at least 10 seasons in that role are eligible 5 years after retirement, unless they are 65 or older, in which case the waiting period is 6 months. Executives are eligible 5 years after retirement, or upon reaching age 70. For those who meet the age cutoff, they are explicitly eligible for consideration regardless of their current position in an organization or their status as active or retired. Before the 2016 changes to the committee system, active executives 65 years or older were eligible for consideration. Players and managers with multiple teams While the text on a player's or manager's plaque lists all teams for which the inductee was a member in that specific role, inductees are usually depicted wearing the cap of a specific team, though in a few cases, like umpires, they wear caps without logos. (Executives are not depicted wearing caps.) Additionally, as of 2015, inductee biographies on the Hall's website for all players and managers, and executives who were associated with specific teams, list a "primary team", which does not necessarily match the cap logo. The Hall selects the logo "based on where that player makes his most indelible mark." Although the Hall always made the final decision on which logo was shown, until 2001 the Hall deferred to the wishes of players or managers whose careers were linked with multiple teams. Some examples of inductees associated with multiple teams are the following: Frank Robinson: Robinson chose to have the Baltimore Orioles cap displayed on his plaque, although he had played ten seasons with the Cincinnati Reds and six seasons with Baltimore. Robinson won four pennants and two World Series with the Orioles and one pennant with Cincinnati. His second World Series ring came in the 1970 World Series against the Reds. Robinson also won an MVP award while playing for each team. Catfish Hunter: Hunter chose not to have any logo on his cap when elected to the Hall of Fame in 1987. Hunter had success for both teams for which he played – the Kansas City/Oakland Athletics (his first ten seasons) and the New York Yankees (his final five seasons). Furthermore, both during and after his career he maintained good relations with both teams and their respective owners (Charles Finley and George Steinbrenner), and did not wish to slight either team by selecting the other. Nolan Ryan: Born and raised in Texas, Ryan entered the Hall in 1999 wearing a Texas Rangers cap on his plaque, although he spent only five seasons with the Rangers, while raised in the Houston area and having longer and more successful tenures with the Houston Astros (nine seasons, 1980–88 and his record-setting fifth career no-hitter) and California Angels (eight seasons, 1972–79 and the first four of his seven career no-hitters). Ryan's only championship was as a member of the New York Mets in 1969. Ryan finished his career with the Rangers, reaching his 5,000th strikeout and 300th win, and throwing the last two of his no-hitters. Ryan later took ownership of the Rangers when they were sold to his Rangers Baseball Express group in 2010. He sold his Rangers interest in 2013 and is now in the Astros' front office. In 2020 Ryan discontinued his executive role with the Astros. The minor-league team in which he has an ownership interest, the Round Rock Express of Round Rock, Texas outside of Austin, will be the AAA franchise of the Texas Rangers. Reggie Jackson: Jackson chose to be depicted with a Yankees cap over an Athletics cap. As a member of the Kansas City/Oakland A's, Jackson played ten seasons (1967–75, '87), winning three World Series (1972, 1973, 1974) and the 1973 AL MVP Award. During his five years in New York (1977–81), Jackson won two World Series (1977–78), with his crowning achievement occurring during Game Six of the 1977 World Series, when he hit three home runs on consecutive pitches and earned his nickname "Mr. October". Carlton Fisk: Fisk went into the hall with a Boston Red Sox cap on his plaque in 2000 despite having played with the Chicago White Sox longer and posting more significant numbers with the White Sox. Fisk's choice of the Red Sox was likely due to his being a New England native, as well as his famous "Stay fair!" walk-off home run in Game Six of the 1975 World Series for which he is most associated. Sparky Anderson: Also in 2000, Anderson entered the Hall with a Cincinnati Reds cap on his plaque despite managing almost twice as many seasons with the Detroit Tigers (17 in Detroit; nine in Cincinnati). He chose the Reds to honor that team's former general manager Bob Howsam, who gave him his first major-league managing job. Anderson won two World Series with the Reds and one with the Tigers. Dave Winfield: Winfield had spent the most years in his career with the Yankees and had great success there, though he chose to go into the Hall as a member of the San Diego Padres due to his feud with Yankees owner George Steinbrenner. In all of the above cases, the "primary team" is the team for which the inductee spent the largest portion of his career except for Ryan, whose primary team is listed as the Angels despite playing one fewer season for that team than for the Astros. In 2001, the Hall of Fame decided to change the policy on cap logo selection, as a result of rumors that some teams were offering compensation, such as number retirement, money, or organizational jobs, in exchange for the cap designation. (For example, though Wade Boggs denied the claims, some media reports had said that his contract with the Tampa Bay Devil Rays required him to request depiction in the Hall of Fame as a Devil Ray.) The Hall decided that it would no longer defer to the inductee, though the player's wishes would be considered, when deciding on the logo to appear on the plaque. Newly elected members affected by the change include the following: Gary Carter: Inducted in 2003, Carter was the first player to be affected by the new policy. Carter won his only championship with the 1986 New York Mets, and wanted his induction plaque to depict him wearing a Mets cap, though he had spent twelve years (1974–84, 1992) with the Montreal Expos and five (1985–89) with the Mets. The Hall of Fame decided that Carter's impact on the Montreal franchise warranted depicting him with an Expos cap. Wade Boggs: Boggs's only title was as a member of the 1996 New York Yankees, for whom he played from 1993 to 1997, but his best career numbers were posted during his 11 years (1982–92) with the Boston Red Sox. Boggs would eventually be depicted wearing a Boston cap for his 2005 induction. Andre Dawson: Dawson's cap depicts him as a member of the Expos, his team for eleven years, despite his expressed preference to be shown as a member of the Chicago Cubs. While Dawson played only six years with the Cubs, five of his eight All-Star appearances were as a Cub, and his only MVP award came in his first year with the team in 1987. Tony La Russa: Manager La Russa chose not to have a logo after managing three teams over 33 years—the Chicago White Sox, Oakland Athletics, and St. Louis Cardinals. His greatest successes were with the A's (three pennants and a World Series title in 10 years) and Cardinals (three pennants and two World Series in 16 years). Nonetheless, La Russa felt that his induction to the Hall was due to his tenures with all three teams, and stated that not including a logo meant that "fans of all [three] clubs can celebrate this honor with me." La Russa's biography on the Hall's website lists his primary team as the Cardinals. Greg Maddux: Although Maddux had his greatest success while with the Atlanta Braves for 11 seasons, he had two stints with the Chicago Cubs for a total of 10 seasons, including the first seven of his MLB career. Maddux believed that both fanbases were equally important in his career, and so the cap on his plaque does not feature any logo. His biography on the Hall's website lists his primary team as the Braves. Randy Johnson: Johnson played for six teams in a 22-year career, but spent the bulk of it with the Seattle Mariners (10 seasons) and Arizona Diamondbacks (8 seasons). While enjoying great success with both teams, he had more significant honors with the Diamondbacks. Four of Johnson's five Cy Young Awards (consecutively from 1999 to 2002), his only title (in 2001), his pitching triple crown (2002), and his perfect game (2004) all came with Arizona. Accordingly, he and the Hall agreed his plaque should feature a Diamondbacks logo. His biography on the Hall's website lists his primary team as the Mariners. Mike Mussina who played 10 seasons with the Baltimore Orioles and eight seasons with the New York Yankees, decided to go into the Hall without a logo on his plaque, saying "I don’t feel like I can pick one team over the other because they were both great to me. I did a lot in Baltimore and they gave me the chance and then in New York we went to the playoffs seven of eight years, and both teams were involved. To go in with no logo was the only decision I felt good about". Mussina's biography at the Hall lists his primary team as Baltimore. Roy Halladay was posthumously elected to the Hall on January 22, 2019, in his first year of eligibility, garnering 85.4 percent of the vote. Halladay was a six-time All-Star and won a Cy Young award with the Toronto Blue Jays from 1998 to 2009, and then was a two-time All-Star and won a Cy Young award with the Philadelphia Phillies over his final four seasons. He spent 12 of his 16 MLB seasons with the Blue Jays and earned 148 of his 203 victories with them, although his team never reached the playoffs. For the Phillies, he threw a perfect game and a postseason no-hitter, though his final two seasons were injury-plagued. Halladay was quoted as saying after he retired in 2013 that he'd like to enter the Hall of Fame as a Blue Jay, and he signed a ceremonial contract to retire with Toronto. However, he died in a plane crash on November 7, 2017. The Hall deferred to the wishes of his wife and sons who chose not to have a logo for his cap, which leaves Roberto Alomar as the sole Cooperstown inductee as a Blue Jay. Halladay's biography on the Hall's website lists his primary team as the Blue Jays. The museum Sam Crane (who had played a decade in 19th century baseball before becoming a manager and sportswriter) had first approached the idea of making a memorial to the great players of the past in what was believed to have been the birthplace of baseball: Cooperstown, New York, but the idea did not muster much momentum until after his death in 1925. In 1934, the idea for establishing a Baseball Hall of Fame and Museum was devised by several individuals, such as Ford Frick (president of the National League) and Alexander Cleland, a Scottish immigrant who decided to serve as the first executive secretary for the Museum for the next seven years that worked with the interests of the Village and Major League Baseball. Stephen Carlton Clark (a Cooperstown native) paid for the construction of the museum, which was planned to open in 1939 to mark the "Centennial of Baseball", which included renovations to Doubleday Field. William Beattie served as the first curator of the museum. According to the Hall of Fame, approximately 260,000 visitors enter the museum each year, and the running total has surpassed 17 million. These visitors see only a fraction of its 40,000 artifacts, 3 million library items (such as newspaper clippings and photos) and 140,000 baseball cards. The Hall has seen a noticeable decrease in attendance in recent years. A 2013 story on ESPN.com about the village of Cooperstown and its relation to the game partially linked the reduced attendance with Cooperstown Dreams Park, a youth baseball complex about away in the town of Hartwick. The 22 fields at Dreams Park currently draw 17,000 players each summer for a week of intensive play; while the complex includes housing for the players, their parents and grandparents must stay elsewhere. According to the story, Prior to Dreams Park, a room might be filled for a week by several sets of tourists. Now, that room will be taken by just one family for the week, and that family may only go into Cooperstown and the Hall of Fame once. While there are other contributing factors (the recession and high gas prices among them), the Hall's attendance has tumbled since Dreams Park opened. The Hall drew 383,000 visitors in 1999. It drew 262,000 last year. First floor Baseball at the Movies houses baseball movie memorabilia while a screen shows footage from those movies. The Bullpen Theater is the site of daily programming at the museum (trivia games, book discussions, etc.) and is decorated with pictures of famous relief pitchers. Inductee Row features images of Hall of Famers inducted from 1937 to 1939. The Perez-Steele Art Gallery features art of all media related to baseball. Dick Perez served as an artist for various projects at the National Baseball Hall of Fame and Museum for 20 years, starting in 1981 The Plaque Gallery, the most recognizable site at the museum, contains induction plaques of all members. The Sandlot Kids Clubhouse has various interactive displays for young children. Scribes and Mikemen honors BBWAA Career Excellence Award and Ford C. Frick Award winners with a photo display and has artifacts related to baseball writing and broadcasting. Floor-to-ceiling windows at the Scribes and Mikemen exhibit face an outdoor courtyard with statues of Johnny Podres and Roy Campanella (representing the Brooklyn Dodgers 1955 championship team), and an unnamed All-American Girls Professional Baseball League player. A Satchel Paige statue was unveiled and dedicated during the 2006 Induction Weekend. An Education Gallery hosts school groups and, in the summer, presentations about artifacts from the museum's collection. Second floor The Grandstand Theater features a 12-minute multimedia film. The 200-seat theater, complete with replica stadium seats, is decorated to resemble old Comiskey Park. The Game is the major feature of the second floor. It is where the most artifacts are displayed. The Game is set up in a timeline format, starting with baseball's beginnings and culminating with the game we know today. There are several offshoots of this meandering timeline: The Babe Ruth Room Diamond Dreams (women in baseball) ¡Viva Baseball! (a bilingual exhibit, in English and Spanish, that celebrates baseball in Latin America) Pride and Passion (Negro leagues exhibit) Taking The Field (19th century baseball) Whole New Ballgame, the Museum's newest permanent exhibit, opened in 2015 and is located in the Janetschek Gallery. This exhibit completes the timeline of baseball through the last 45 years into the game we know today. It features environmental video walls and new interactive elements to go along with artifacts from the Museum's collection. The Today's Game exhibit is built like a baseball clubhouse, with 30 glass-enclosed locker stalls, one for each Major League franchise. In each stall there is a jersey and other items from the designated big league team, along with a brief team history. A center display case holds objects donated to the Hall of Fame from the past year or two. Fans can also look into a room designed to look like a manager's office. Outside is a display case with rotating artifacts. Currently the space is devoted to the World Baseball Classic. Third floor Autumn Glory is devoted to post-season baseball and has, among other artifacts, replicas of World Series rings. Hank Aaron: Chasing the Dream A theater area continually plays the popular Abbott and Costello routine "Who's on First?" One for the Books tells the story of baseball's most cherished records through more than 200 artifacts. The exhibit allows fans to search records dating back through baseball history via an interactive Top Ten Tower while giving visitors a look at exciting moments throughout the years via a multimedia wall. BBWAA awards: Replicas of various awards distributed by the BBWAA at the end of each season, along with a list of past winners. A case dedicated to Ichiro Suzuki setting the major league record for base hits in a single season, with 262 in 2004, after George Sisler had held the record for 84 years with 257. A case full of World Series rings from prior years from the 1900s to present. An inductee database touch-screen computer with statistics for every inductee. Programs from every World Series. Sacred Ground is devoted entirely to ballparks and everything about them, especially the fan experience and the business of a ballpark. The centerpiece is a computer tour of three former ballparks: Boston's South End Grounds, Chicago's Comiskey Park, and Brooklyn's Ebbets Field. Notable events 1982 unauthorized sales A controversy erupted in 1982, when it emerged that some historic items given to the Hall had been sold on the collectibles market. The items had been lent to the Baseball Commissioner's office, gotten mixed up with other property owned by the Commissioner's office and employees of the office, and moved to the garage of Joe Reichler, an assistant to Commissioner Bowie Kuhn, who sold the items to resolve his personal financial difficulties. Under pressure from the New York Attorney General, the Commissioner's Office made reparations, but the negative publicity damaged the Hall of Fame's reputation, and made it more difficult for it to solicit donations. 2014 commemorative coins In 2012, Congress passed and President Barack Obama signed a law ordering the United States Mint to produce and sell commemorative, non-circulating coins to benefit the private, non-profit Hall. The bill, , was introduced in the United States House of Representatives by Rep. Richard Hanna, a Republican from New York, and passed the House on October 26, 2011. The coins, which depict baseball gloves and balls, are the first concave designs produced by the Mint. The mintage included 50,000 gold coins, 400,000 silver coins, and 750,000 clad (nickel-copper) coins. The Mint released them on March 27, 2014, and the gold and silver editions quickly sold out. The Hall receives money from surcharges included in the sale price: a total of $9.5 million if all the coins are sold. See also Award share Bob Feller Act of Valor Award Honor Rolls of Baseball (1946) (managers, executives, writers, umpires) List of Major League Baseball awards List of members of the Baseball Hall of Fame Negro Leagues Baseball Museum Nisei Baseball Research Project References External links Official website Hall of Fame History from Major League Baseball Awards and Honors. Baseball-Reference.com (including HOF inductees, Hall of Famer Batting and Pitching Stats, and HOF Voting Results for 1936 to present) Baseball museums and halls of fame Clark family Baseball History of baseball in the United States Museums in Otsego County, New York Sports museums in New York (state) Sports organizations established in 1936 Tourist attractions in Otsego County, New York
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