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Reading the Unreadable

It was about two thousand years ago when the eruption of southern Italy’s Mount Vesuvius enveloped the ancient Roman cities of Pompei and Herculaneum in a fiery cataclysm, swathing them in a hot ash and mud cocoon that would actually end up ‘freezing’ their remains in what for history has been two of the best-preserved ancient urban centers. It became a gold mine for archaeological investigation in the late 19th century, and continues to reveal more to archaeologists today. In Herculaneum, one of the most significant finds was a library of 1,800 carbonized papyri found within the remains of a Roman villa, known today as the Villa of the Papyri. Because of the scrolls’ charred state and fragility, however, they have been extremely difficut to decipher. 

Until now.

Recent analysis of the papyrus scroll fragments using advanced techniques have revealed a number of findings, including the revelation that the ancient Romans used metallic ink in their literary inscriptions centuries earlier than previously thought.* Up to now, it was thought that ancient texts, particularly Greek and Latin literary manuscripts produced until the fourth century AD, were written primarily in carbon-based ink on papyri, the fibrous structure of which allowed the ancient scribes to forego the use of ruling lines. Now, Vito Mocella and colleagues have applied nondestructive synchrotron (particle accelerator) X-ray-based methods to chemically analyze hardly visible inscriptions on two nearly flat, multilayered charred papyrus fragments that were found at the Villa. While it was thought that the introduction of metal in writing materials was generally dated to the fourth-fifth century AD, the fragments of these scrolls showed high lead concentrations—around 84 µg/cm2 and 16 µg/cm2—suggesting a purposeful use of lead-containing ink, several centuries before the use of metallic ink was introduced into literary inscription in the Greco-Roman period. Spots of concentrated lead were detected at the beginnings and ends of the scribes’ pen strokes on the scrolls. 

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 The remains of the Villa of the Papyri in Herculaneum. Erik Anderson, Wikimedia Commons

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Now, Vito Mocella, who is an expert in condensed matter physics and electromagnetism, and Papyrologist Daniel Delattre, have joined forces to make the scrolls legible again. Using their expertise and the help of the synchrotron particle accelerator, they are slowly on their way to more easily deciphering the scrolls once and for all, using the noninvasive technique (see the video below). The ultimate results may shed much light on Greco-Roman society in the shadow of Vesuvius.

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Would Say Would Fall from MEL Films on Vimeo.

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* “Revealing metallic ink in Herculaneum papyri,” by Emmanuel Brun et al.

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 This richly illustrated issue includes the following stories: Recent findings shedding new light on the whereabouts of the remains of Philip of Macedon, father of Alexander the Great; how an archaeologist-sculptor is bringing bones of the dead back to life; archaeologists uncovering town life at the dawn of civilization; an exclusive interview with internationally acclaimed archaeologist James M. Adovasio about what makes the Meadowcroft Rockshelter prominent in the ongoing search for the first Americans; what archaeologists are finding at the site of the ancient city of Gath, the home town of the biblical Philistine giant, Goliath; and how scientists are redrawing the picture of human evolution in Europe.  Find it on Amazon.com.

 

 

  

 

 

 

 

The Ancient Workshop of Naxos

As Founder and Editor of Popular Archaeology Magazine, Dan is a freelance writer and journalist specializing in archaeology.  He studied anthropology and archaeology in undergraduate and graduate school and has been an active participant on archaeological excavations in the U.S. and abroad.  He is the creator and administrator of Archaeological Digs, a popular weblog about archaeological excavation and field school opportunities.  

The island of Naxos, Greece—A small group of human-like creatures ascend a hill that overlooks a grassy plain. The pinnacle of the hill commands an impressive view of the land below, with perhaps a view of the distant ocean along the horizon to the west. 

But they’re not climbing for the view. 

They’re climbing to get their hands on special rocky outcroppings along the way — outcroppings of chert — perfect for making tools and weapons critical for survival. 

Some of these places have been picked over for thousands of years already. Their ancestors knew of this hill and passed that knowledge on to their descendants, who continued a tradition of extracting its seemingly inexhaustible supply of valuable stone that would prove to sustain generations of future groups for many thousands of years.  

Fast forward

“The hill itself is basically one big chert source where people came to get raw material for making stone tools since the Paleolithic and through to the Mesolithic,” says archaeologist Kate Leonard. Kate is a young Canadian archaeologist who was excavating with a team of her colleagues at the hill site in June of 2016. “What is being found in the excavations are the leftovers from thousands and thousands of years of removing chert from the outcrops and the roughing out of stone tools.” 

First discovered in 1981 as part of a survey by the École Française d’Athènes under the direction of René Treuil, the site, known as Stélida, is a 118m high hill on the west of cape of Aghios Prokopios, located on the northwest coast of the large Cyclades island of Naxos. Today the hill is situated on a promontory that juts out into the Aegean, and if one stands at its pinnacle, one can view a vista of the coastline and the Aegean Sea toward the west, separating Naxos from its neighboring island, Paros, clearly seen in the distance. The initial survey identified the site as a significant source of chert, a raw material that was commonly used by prehistoric humans and hominins for producing stone tools and weapons. Beginning in 2013, an international team led by Dr. Tristan Carter of McMaster University through the Canadian Institute in Greece, and his co-director Dr. Demetris Athanasoulis of the Cycladic Ephorate of Antiquities of the Hellenic Republic’s Ministry of Culture and Sports, conducted a series of ongoing excavations on the hill. Known as the Stélida Naxos Archaeological Project (SNAP), excavations have uncovered thousands of lithic material (mostly stone debitage), that indicate the site was in use for tens of thousands of years as a place to acquire and manufacture simple stone tools. “Identifying the lithic material was initially a challenge for me,” says Leonard. “When you are excavating a very early site that was a raw material source you don’t necessarily find all the lovely (easily identified) stone tools that would be found on a habitation site. What you do find is the leftovers from making these stone tools.” 

And the leftovers have been nearly overwhelming. In fact, says Leonard, “there is so much lithic material being found at Stélida that the team struggles to wash it so the lithic specialist can look it over and inform the team about any diagnostic pieces being uncovered.”

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 A view of Naxos from the hill site. Courtesy Kate Leonard

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Stone tools in situ at Stélida. Courtesy Kate Leonard 

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The implications

According to the scientists, many of the diagnostic pieces, although not an indicator for direct or absolute dating, do suggest a possible date range of hominin occupation or use going back as far as the Middle Paleolithic. Says Leonard, “There is tantalizing evidence for activity at Stélida in the form of possible bifaces that could be interpreted as handaxes; these large heavy tools could have been made by Homo heidelbergensis, the predecessor of the Neanderthals in Europe. The possibility for evidence of these early hominids living on what are now the Cycladic islands has not been seriously investigated before.”

This characteristically Paleolithic material, and the site’s location on an island in the Aegean, also present possible implications for ancient migration of humans and their ancestors in this part of the world.

“Stélida is the earliest known archaeological site in the Cycladic region and when the area was first reached by hominins the landscape would have been much different to now,” says Leonard. “When I looked out from my excavation trench towards the coast I could see the Aegean Sea separating Naxos from its neighbor to the west, the island of Paros. Scientific investigations into the ancient environment suggest that these two islands were joined to a few others as part of one big island known as the ‘Cycladean Island’ during the glacial maximum (the stage of the Ice Age when the maximum amount of sea water was trapped in glaciers). Tens of thousands of years ago when people climbed the hill at Stélida to reach the chert outcrops they would have been looking out over a grassy plain, an estuary or even a lagoon, with the sea many kilometers away. But even still, this ‘mega-island’ was an island and a body of water had to be crossed to reach it from mainland Europe.”

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A view of the trench, where Leonard was excavating. Courtesy Kate Leonard 

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Could early humans, or perhaps even their hominin forerunners, have crossed over to the island on boats, or some other natural or contrived device that would float them across from the mainland? 

Further research may help answer this question. It could play a significant role in uncovering new pieces to the puzzle of hominin dispersal in colonizing the globe. Leonard feels privileged to have been a part of this effort: This exciting groundbreaking research is investigating a previously overlooked region of Greece for possible alternative routeways for Homo sapiens and their ancient predecessors’ movements from Asia into Europe.”

Moving on

Leonard’s time with SNAP was brief, as she is engaged in a global year-long journey to work at twelve different archaeological sites in 12 separate countries. She calls her project Global Archaeology: A Year of Digs. Stélida now makes the 6th stop on her global trek. 

Popular Archaeology will be following and reporting on Leonard’s worldwide experiences periodically throughout 2016 as she hops from one location to another during her global journey. To continue the work, however, Leonard will need financial support from donors. Readers interested in reading about and supporting her self-directed Global Archaeology crowdfunded project can learn more at gofundme.com/globalarchaeology.

See more about Leonard’s experience with the Stélida Naxos Archaeological Project here, and you may also read more about the site and the project at its website.

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Archaeologist Kate Leonard, from the top of the chert outcrop. Courtesy Kate Leonard 

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winter2016ebookcover

 This richly illustrated issue includes the following stories: Recent findings shedding new light on the whereabouts of the remains of Philip of Macedon, father of Alexander the Great; how an archaeologist-sculptor is bringing bones of the dead back to life; archaeologists uncovering town life at the dawn of civilization; an exclusive interview with internationally acclaimed archaeologist James M. Adovasio about what makes the Meadowcroft Rockshelter prominent in the ongoing search for the first Americans; what archaeologists are finding at the site of the ancient city of Gath, the home town of the biblical Philistine giant, Goliath; and how scientists are redrawing the picture of human evolution in Europe.  Find it on Amazon.com.

 

 

  

 

 

 

 

Origin of farming not from a single population

The transition from hunter-gatherer to sedentary farming 10,000 years ago occurred in multiple neighbouring but genetically distinct populations according to research by an international team including UCL.

“It had been widely assumed that these first farmers were from a single, genetically homogeneous population. However, we’ve found that there were deep genetic differences in these early farming populations, indicating very distinct ancestries,” said corresponding author Dr Garrett Hellenthal, UCL Genetics.

Farnaz Broushaki and colleagues sequenced the DNA from four skeletons representing early Neolithic human remains from Iran’s Zagros region, the site of some of the oldest evidence for farming to date. The researchers’ genetic analyses* uncovered a previously uncharacterized population – one highly distinct from ancient Neolithic Anatolians, the population often considered the likely ancestors of European farmers. This suggests these Zagros-based farmers, the genetic sequences of which bear greater resemblance to modern-day Pakistani and Afghan populations, weren’t the ancestors to the first farmers in Europe. Instead, they likely split from ancient Neolithic Anatolian genomes more than 40,000 years ago, the authors say, serving as a separate source of the expansion of agriculture. The results add support to the hypothesis that rather than being the handiwork of one group of farmers, the farming culture was spread to Europe, Africa and Asia by more than one source population from farming’s core zone.

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 Map showing the Zagros region. Joshua Doubek, Wikimedia Commons

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“We know that farming technologies, including various domestic plants and animals, arose across the Fertile Crescent, with no particular centre” added co-author Professor Mark Thomas, UCL Genetics, Evolution & Environment.

“But to find that this region was made up of highly genetically distinct farming populations was something of a surprise. We estimated that they separated some 46 to 77,000 years ago, so they would almost certainly have looked different, and spoken different languages. It seems like we should be talking of a federal origin of farming.”

The switch from mobile hunting and gathering to sedentary farming first occurred around 10,000 years ago in southwestern Asia and was one of the most important behavioral transitions since humans first evolved in Africa some 200,000 years ago. It led to profound changes in society, including greater population densities, new diseases, poorer health, social inequality, urban living, and ultimately, the rise of ancient civilizations.

Animals and plants were first domesticated across a region stretching north from modern-day Israel, Palestine and Lebanon to Syria and eastern Turkey, then east into, northern Iraq and north-western Iran, and south into Mesopotamia; a region known as the Fertile Crescent.

“Such was the impact of farming on our species that archaeologists have debated for more than 100 years how it originated and how it was spread into neighbouring regions such as Europe, North Africa and southern Asia,” said co-author Professor Stephen Shennan, UCL Institute of Archaeology.

“We’ve shown for the first time that different populations in different parts of the Fertile Crescent were coming up with similar solutions to finding a successful way of life in the new conditions created by the end of the last Ice Age.”

By looking at how ancient and living people share long sections of DNA, the team showed that early farming populations were highly genetically structured, and that some of that structure was preserved as farming, and farmers, spread into neighbouring regions; Europe to the west and southern Asia to the east.

“Early farmers from across Europe, and to some extent modern-day Europeans, can trace their DNA to early farmers living in the Aegean, whereas people living in Afghanistan, Pakistan, Iran and India share considerably more long chunks of DNA with early farmers in Iran. This genetic legacy of early farmers persists, although of course our genetic make-up subsequently has been reshaped by many millennia of other population movements and intermixing of various groups,” concluded Dr Hellenthal.

Source: Adapted and edited from press releases of the University College London and the American Association for the Advancement of Science.

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*”Early Neolithic genomes from the eastern Fertile Crescent,” by F. Broushaki; K. Kirsanow; Z. Hofmanová; C. Sell; J. Blöcher; A. Scheu; S. Kreutzer; R. Bollongino; J. Burger at Johannes Gutenberg University Mainz in Mainz, Germany; M.G. Thomas; S. López; L. van Dorp; Y. Diekmann; D. Díez-del-Molino; S. Shennan; G. Hellenthal at University College London in London, UK V. Link; A. Kousathanas; D. Wegmann at University of Fribourg in Fribourg, Switzerland V. Link; A. Kousathanas; D. Wegmann at Swiss Institute of Bioinformatics in Lausanne, Switzerland. Science, 14 July 2016.

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winter2016ebookcover

 This richly illustrated issue includes the following stories: Recent findings shedding new light on the whereabouts of the remains of Philip of Macedon, father of Alexander the Great; how an archaeologist-sculptor is bringing bones of the dead back to life; archaeologists uncovering town life at the dawn of civilization; an exclusive interview with internationally acclaimed archaeologist James M. Adovasio about what makes the Meadowcroft Rockshelter prominent in the ongoing search for the first Americans; what archaeologists are finding at the site of the ancient city of Gath, the home town of the biblical Philistine giant, Goliath; and how scientists are redrawing the picture of human evolution in Europe.  Find it on Amazon.com.

 

 

  

 

 

 

 

Homo erectus walked as we do

MAX-PLANCK-GESELLSCHAFT—Fossil bones and stone tools can tell us a lot about human evolution, but certain dynamic behaviours of our fossil ancestors – things like how they moved and how individuals interacted with one another – are incredibly difficult to deduce from these traditional forms of paleoanthropological data. Researchers from the Max Planck Institute for Evolutionary Anthropology in Leipzig, along with an international team of collaborators, have recently discovered multiple assemblages of Homo erectus footprints in northern Kenya that provide unique opportunities to understand locomotor patterns and group structure through a form of data that directly records these dynamic behaviours*. Using novel analytical techniques, they have demonstrated that these H. erectus footprints preserve evidence of a modern human style of walking and a group structure that is consistent with human-like social behaviours.

Habitual bipedal locomotion is a defining feature of modern humans compared with other primates, and the evolution of this behaviour in our clade would have had profound effects on the biologies of our fossil ancestors and relatives. However, there has been much debate over when and how a human-like bipedal gait first emerged in the hominin clade, largely because of disagreements over how to indirectly infer biomechanics from skeletal morphologies. Likewise, certain aspects of group structure and social behaviour distinguish humans from other primates and almost certainly emerged through major evolutionary events, yet there has been no consensus on how to detect aspects of group behaviour in the fossil or archaeological records.

In 2009, a set of 1.5-million-year-old hominin footprints was discovered at a site near the town of Ileret, Kenya. Continued work in this region by scientists from the Max Planck Institute for Evolutionary Anthropology, and an international team of collaborators, has revealed a hominin trace fossil discovery of unprecedented scale for this time period – five distinct sites that preserve a total of 97 tracks created by at least 20 different presumed Homo erectus individuals. Using an experimental approach, the researchers have found that the shapes of these footprints are indistinguishable from those of modern habitually barefoot people, most likely reflecting similar foot anatomies and similar foot mechanics. “Our analyses of these footprints provide some of the only direct evidence to support the common assumption that at least one of our fossil relatives at 1.5 million years ago walked in much the same way as we do today,” says Kevin Hatala, of the Max Planck Institute for Evolutionary Anthropology and The George Washington University.

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 The shapes of the fossil and modern footprints are nearly indistinguishable. CreditKevin Hatala / Max Planck Institute for Evolutionary Anthropology

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Based on experimentally derived estimates of body mass from the Ileret hominin tracks, the researchers have also inferred the sexes of the multiple individuals who walked across footprint surfaces and, for the two most expansive excavated surfaces, developed hypotheses regarding the structure of these H. erectus groups. At each of these sites there is evidence of several adult males, implying some level of tolerance and possibly cooperation between them. Cooperation between males underlies many of the social behaviours that distinguish modern humans from other primates. “It isn’t shocking that we find evidence of mutual tolerance and perhaps cooperation between males in a hominin that lived 1.5 million years ago, especially Homo erectus, but this is our first chance to see what appears to be a direct glimpse of this behavioural dynamic in deep time,” says Hatala.

Source: News release of the Max Planck Gesellshcaft.

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*Kevin G. Hatala, Neil T. Roach, Kelly R. Ostrofsky, Roshna E. Wunderlich, Heather L. Dingwall, Brian A. Villmoare, David J. Green, John W. K. Harris, David R. Braun & Brian G. Richmond, Footprints reveal direct evidence of group behavior and locomotion in Homo erectusScientific Reports; 12 July, 2016 (DOI: 10.1038/srep28766)

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Travel and learn with Far Horizons.

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winter2016ebookcover

 This richly illustrated issue includes the following stories: Recent findings shedding new light on the whereabouts of the remains of Philip of Macedon, father of Alexander the Great; how an archaeologist-sculptor is bringing bones of the dead back to life; archaeologists uncovering town life at the dawn of civilization; an exclusive interview with internationally acclaimed archaeologist James M. Adovasio about what makes the Meadowcroft Rockshelter prominent in the ongoing search for the first Americans; what archaeologists are finding at the site of the ancient city of Gath, the home town of the biblical Philistine giant, Goliath; and how scientists are redrawing the picture of human evolution in Europe.  Find it on Amazon.com.

 

 

  

 

 

 

 

How Ancient Egypt Shaped the Modern World: An Infographic

When we think of ancient Egypt, for most of us, such things as the pyramids of Giza and the great temple of Karnak come to mind. But you might be amazed to find out that the ancient Egyptian legacy extends far beyond these iconic sites, touching almost all aspects of the society we live in today.

Ancient Egyptian inventions have survived thousands of years. From clocks and calendars to modern beauty regimes.
Source: Produced by Fairmont
 
Cover Photo, Top Left: View of the Giza pyramids. Micetta, Wikimedia Commons
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Popular Archaeology will be co-hosting a March, 2017 study tour of Holy Land sites. Locations will include archaeological sites from Tel Dan in the north to Biblical Tamar in the desert south of the Dead Sea, and will include such places as the iconic sites in and around the Sea of Galilee and Jerusalem, Qumran (near the Dead Sea scroll caves), Masada, and an optional stay inside Jerusalem’s Old City walls for an up-close-and-personal experience of the ambience within the Old City. More information about this opportunity can be obtained at the tour page.  

 

 

 

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The first evidence of Neanderthal cannibalism in northern Europe is discovered

UNIVERSITY OF THE BASQUE COUNTRY—The Neanderthals displayed great variability in their behavior and one of the aspects in which this becomes clear is their relationship with the dead. There is evidence on different sites (e.g. Chapelle-aux-Saints in France, and Sima de las Palomas on the Iberian Peninsula) that the Neanderthals buried the dead. Yet other sites show that the Neanderthals ate the meat and broke the bones of their fellow Neanderthals for food. Evidence of this cannibal behavior has been discovered at various sites in France (e.g., Moula-Guercy, Les Pradelles) and on the Iberian Peninsula (Zafarraya, El Sidrón).

However, there are very few sites with Neanderthal remains north of latitude 50º, as only two of these sites have provided information on possible funerary treatment. Partial skeletons have been found in Feldhofer (Germany) and in Spy (Belgium), and the study of them as well as that of their context allows one to deduce that they were interred. In fact, the excavation notes on the Spy II individual indicate that it was a complete skeleton found in a contracted position.

A new study*, led by Dr Hélène Rougier, and which the Ikerbasque researcher at the UPV/EHU Asier Gómez-Olivencia has participated in, has discovered the largest number of Neanderthal human remains in northern Europe, not only in terms of the number of remains but also in terms of the number of individuals represented, a total of five: 4 adolescents or adults and one child. The site is the “Troisième caverne” in Goyet (Belgium).

A third of the Neanderthal remains on this site display cut marks, and many remains bear percussion marks caused when the bones were crushed to extract the marrow. The comparison of the Neanderthal remains with other remains of fauna recovered on the site (horses and reindeer) suggests that the three species were consumed in a similar way. This discovery enables the range of known Neanderthal behaviour in northern Europe with respect to the dead to be expanded.

What is more, five human Neanderthal remains display signs of having been used as soft percussors to shape stone. The Neanderthals used boulders to shape stone tools and also used bone in some cases to sharpen the cutting edges (one example closer to home can be found in the bone retouchers, mainly belonging to deer, recovered on the Azlor site in Dima, Bizkaia). So far, there have been three sites in which the Neanderthals are known to have used the bones of a fellow Neanderthal to shape stone tools: a femur fragment in the case of Krapina in Croatia and Les Pradelles, and a skull fragment at La Quina in France. Goyet has provided 5 sets of human remains used as retouchers, which almost doubles the record known so far on a single site.

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The different categories of anthropogenic modifications found on Neanderthal bones at Goyet. Femur I (left) displays signs of having been used as a percussor for shaping stone, and femur III (right) bears cut marks indicating the processing of remains during butchery activities. Femur III also bears signs of retouching left behind after being used to retouch the edges of stone tools. Scale = 1 cm. Credit: Asier Gómez-Olivencia et al.

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The highly fragmented Neanderthal collection of the third cave at Goyet represents at least five individuals. Dating indicates that the ones marked with an asterisk go back to between 40,500 and 45,500 years ago. Scale=3cm Credit: Asier Gómez-Olivencia et al.

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It has also been possible to date this collection of Neanderthal remains, revealing that these Neanderthals lived between 40,500 and 45,500 years ago. The exceptional preservation of the collection has also enabled the mitochondrial DNA of these remains to be recovered, which when compared with that of other Neanderthals, reveals that genetically the Neanderthals at Goyet resembled those of Feldhofer (Germany), Vindija (Croatia) and El Sidrón (Asturias, Spain). This great genetic uniformity, notwithstanding the geographical distances, indicates that the Neanderthal population that inhabited Europe was small.

Source: Adapted and edited from a news release of the University of the Basque Country

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*Rougier, H., Crevecoeur, I., Beauval, C., Posth, C., Flas, D., Wissing, C., Furtwängler, A., Germonpré, M., Gómez-Olivencia, A., Semal, P., van der Plicht, J., Bocherens, H., Krause, J., Neanderthal cannibalism and Neanderthal bones used as tools in Northern EuropeScientific Reports. DOI: 10.1038/srep29005

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Travel and learn with Far Horizons.

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winter2016ebookcover

 This richly illustrated issue includes the following stories: Recent findings shedding new light on the whereabouts of the remains of Philip of Macedon, father of Alexander the Great; how an archaeologist-sculptor is bringing bones of the dead back to life; archaeologists uncovering town life at the dawn of civilization; an exclusive interview with internationally acclaimed archaeologist James M. Adovasio about what makes the Meadowcroft Rockshelter prominent in the ongoing search for the first Americans; what archaeologists are finding at the site of the ancient city of Gath, the home town of the biblical Philistine giant, Goliath; and how scientists are redrawing the picture of human evolution in Europe.  Find it on Amazon.com.

 

 

  

 

 

 

 

Reconstruction of 12,000 year old funeral feast brings ancient burial rituals to life

THE HEBREW UNIVERSITY OF JERUSALEM—The woman was laid on a bed of specially selected materials, including gazelle horn cores, fragments of chalk, fresh clay, limestone blocks and sediment. Tortoise shells were placed under and around her body, 86 in total. Sea shells, an eagle’s wing, a leopard’s pelvis, a forearm of a wild boar and even a human foot were placed on the body of the mysterious 1.5 meter-tall woman. Atop her body, a large stone was laid to seal the burial space.

It was not an ordinary funeral, said the Hebrew University archeologist who discovered the grave in a cave site on the bank of the Hilazon river in the western Galilee region of northern Israel back in 2008 (LINK to PNAS ). Three other grave pits have been found at the site of Hilazon Tachtit since 1995, and most contained bones of several humans. Nevertheless, the unusual objects found inside the grave, measuring approximately 0.70 m x 1.00 m x 0.45 m, point to the uniqueness of the event and the woman at its center.

Eight years after the discovery, Prof. Leore Grosman from the Institute of Archeology at the Hebrew University of Jerusalem and Prof. Natalie Munro from the University of Connecticut, have identified the sequence of events of the mysterious funeral ritual that took place 12,000 years ago.

“We’ve assigned the event to stages based on field notes, digitized maps, stones, architecture and artifact frequency distributions and concentrations,” said Prof. Grosman, adding that, “The high quality of preservation and recovery of a well-preserved grave of an unusual woman, probably a shaman, enabled the identification of six stages of a funerary ritual.”

The research, published in the journal Current Anthropology (LINK), details the order of the six-step sequence and its ritual and ideological importance for the people who enacted it.

It began with the excavation of an oval grave pit in the cave floor. Next, a layer of objects was cached between large stones, including seashells, a broken basalt palette, red ochre, chalk, and several complete tortoise shells. These were covered by a layer of sediment containing ashes, and garbage composed of flint and animal bones. About halfway through the ritual, the woman was laid inside the pit in a child-bearing position, and special items including many more tortoise shells were placed on top of and around her. This was followed by another layer of filling and limestones of various sizes that were placed directly on the body. The ritual concluded with the sealing of the grave with a large, heavy stone.

A wide range of activities took place in preparation for the funerary event. This included the collection of materials required for grave construction, and the capture and preparation of animals for the feast, particularly the 86 tortoises, which must have been time-consuming.

“The significant pre-planning implies that there was a defined ‘to do’ list, and a working plan of ritual actions and their order,” said Prof. Grosman.

The study of funerary ritual in the archaeological record becomes possible only after humans began to routinely bury their dead in archaeologically visible locations. The Natufian period (15,000-11,500 years ago) in the southern Levant marks an increase in the frequency and concentration of human burials.

“The remnants of a ritual event at this site provide a rare opportunity to reconstruct the dynamics of ritual performance at a time when funerary ritual was becoming an increasingly important social mediator at a crucial juncture deep in human history,” the researchers said.

This unusual Late Natufian funerary event in Hilazon Tachtit Cave in northern Israel provides strong evidence for community engagement in ritual practice, and its analysis contributes to the growing picture of social complexity in the Natufian period as a predecessor for increasingly public ritual and social transformations in the early Neolithic period that follows.

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This is a vew of Hilazon Tachtit cave in northern Israel. Credit: Leore Grosman

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 Hebrew University archaeologists uncover 12,000 year old grave inside a cave in northern Israel. Credit: Naftali Hilger

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 Bones of a mysterious 1.5 meter-tall woman lay in burial site, surrounded by tortoise shells and other objects. Credit: Naftali Hilger

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The unprecedented scale and extent of social change in the Natufian, especially in terms of ritual activities, make this period central to current debates regarding the origin and significance of social and ritual processes in the agricultural transition.

Source: News release of the Hebrew University of Jerusalem

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winter2016ebookcover

 This richly illustrated issue includes the following stories: Recent findings shedding new light on the whereabouts of the remains of Philip of Macedon, father of Alexander the Great; how an archaeologist-sculptor is bringing bones of the dead back to life; archaeologists uncovering town life at the dawn of civilization; an exclusive interview with internationally acclaimed archaeologist James M. Adovasio about what makes the Meadowcroft Rockshelter prominent in the ongoing search for the first Americans; what archaeologists are finding at the site of the ancient city of Gath, the home town of the biblical Philistine giant, Goliath; and how scientists are redrawing the picture of human evolution in Europe.  Find it on Amazon.com.

 

 

  

 

 

 

 

 

Archaeology suggests no direct link between climate change and early human innovation

PLOS—Environmental records obtained from archaeological sites suggest climate may not have been directly linked to cultural and technological innovations of Middle Stone Age humans in southern Africa, according to a study* published July 6, 2016 in the open-access journal PLOS ONE by Patrick Roberts from the University of Oxford, UK, and colleagues.

The Middle Stone Age marked a period of dramatic change amongst early humans in southern Africa, and climate change has been postulated as a primary driver for the appearance of technological and cultural innovations such as bone tools, ochre production, and personal ornamentation. While some researchers suggest that climate instability may have directly inspired technological advances, others postulate that environmental stability may have provided a stable setting that allowed for experimentation. However, the disconnection of palaeoenvironmental records from archaeological sites makes it difficult to test these alternatives.

The authors of this study carried out analyses of animal remains, shellfish taxa and the stable carbon and oxygen isotope measurements in ostrich eggshell, from two archaeological sites, Blombos Cave and Klipdrift Shelter, spanning 98,000 to 73,000 years ago and 72,000 to 59,000 years ago, respectively, to acquire data regarding possible palaeoenvironmental conditions in southern Africa at the time. For instance, ostrich eggshell carbon and oxygen stable isotope levels may reflect vegetation and water consumption, which in turn vary with rainfall seasonality and amount in this region.

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coastalcavespic

Caves and shelters of South Africa’s southern Cape. Two archaeological sites suggest climate may not have been directly linked to cultural and technological innovations of Middle Stone Age humans in southern Africa, according to a study published July 6, 2016, in the open-access journal PLOS ONE by Patrick Roberts from the University of Oxford, UK, and colleagues. Credit: Christopher Henshilwood

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The researchers found that climatic and environmental variation, reflected in ostrich eggshell stable isotope measurements, faunal records, and shellfish indicators, may not have occurred in phase with Middle Stone Age human technological and cultural innovation at these two sites. While acknowledging that climate and environmental shifts may have influenced human subsistence strategies, the researchers suggest climate change may not have been the driving factor behind cultural and technological innovations in these localities and encourage context-specific evaluation of the role of climate change in driving early human experimentation.

Patrick Roberts notes: “Our results suggest that although climate and environmental changes occurred, they were not coincident with cultural innovations, including personal ornamentation, or the appearance of complex tool-types. This suggests that we have to consider that other factors drove human innovation at this stage in our species’ evolution.”

Source: News release of PLoS ONE

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*Roberts P, Henshilwood CS, van Niekerk KL, Keene P, Gledhill A, Reynard J, et al. (2016) Climate, Environment and Early Human Innovation: Stable Isotope and Faunal Proxy Evidence from Archaeological Sites (98-59ka) in the Southern Cape, South Africa. PLoS ONE 11(7): e0157408. doi:10.1371/journal.pone.0157408

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Travel and learn with Far Horizons.

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winter2016ebookcover

 This richly illustrated issue includes the following stories: Recent findings shedding new light on the whereabouts of the remains of Philip of Macedon, father of Alexander the Great; how an archaeologist-sculptor is bringing bones of the dead back to life; archaeologists uncovering town life at the dawn of civilization; an exclusive interview with internationally acclaimed archaeologist James M. Adovasio about what makes the Meadowcroft Rockshelter prominent in the ongoing search for the first Americans; what archaeologists are finding at the site of the ancient city of Gath, the home town of the biblical Philistine giant, Goliath; and how scientists are redrawing the picture of human evolution in Europe.  Find it on Amazon.com.

 

 

  

 

 

 

 

 

New picture emerges on human settlement of Madagascar

MOLECULAR BIOLOGY AND EVOLUTION (OXFORD UNIVERSITY PRESS)—More than 4,000 years ago, a proto-globalization process started in the Indian Ocean, one of the outcomes being a great human migration of African and Asian peoples spreading across the Indian Ocean to inhabit the fourth largest island in the world, Madagascar. Austronesian peoples came from Borneo on boats, and Bantu migrants crossed over from East Africa. Overall, the Malagasy is thought to be composed of more than a dozen ethnic groups, and the specific geographic, linguistic origins and settlement dates are still hotly debated.

To get at the heart of Malagasy genetic ancestry and reconstruct their history, a research team led by Dr. Francois-Xavier Ricaut investigated genome-wide genotyping data of Malagasy populations along with populations across the Indian Ocean, including two groups of anthropological interest: the Banjar and the Ngaju from Southeast Borneo

A new picture has emerged on the settlement of Madagascar.

Ricaut’s group has shown that the Malagasy genetic diversity is 68 percent African and 32 percent Asian. Based on their evidence, the Banjar were the most probable Asian population that traveled to Madagascar. The genetic dating supports the hypothesis that this Austronesian migration occurred around 1,000 years ago, while the last significant Bantu migration to Madagascar began 300 years later, perhaps following climate change in Africa.

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madagascar

 This is a landscape from South Madagascar. Credit: T. Letellier

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Lastly, the authors propose that a language shift occurred in Southeast Borneo after the migration of Banjar to Madagascar. It is thought that the Banjar, currently speaking a Malay language, presumably spoke a language closer to that reconstructed for Proto-Malagasy. This linguistic change would have followed a major cultural and genetic admixture with Malay, driven by a Malay Empire trading post in Southeast Borneo. The collapse of the Malay Empire during the 15th and 16th centuries could correspond to the end of the Malay gene mix into the Banjar population.

“Our study is the first to reconcile data and hypotheses coming from linguistic, archaeological and genetic research to build an anthropological scenario placing the Malagasy ancestry in the Banjar group, living 6,000 km away,” says Dr. Ricaut.

Source: Edited and adapted from a news release of Molecular Biology and Evolution (Oxford University Press)

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winter2016ebookcover

 This richly illustrated issue includes the following stories: Recent findings shedding new light on the whereabouts of the remains of Philip of Macedon, father of Alexander the Great; how an archaeologist-sculptor is bringing bones of the dead back to life; archaeologists uncovering town life at the dawn of civilization; an exclusive interview with internationally acclaimed archaeologist James M. Adovasio about what makes the Meadowcroft Rockshelter prominent in the ongoing search for the first Americans; what archaeologists are finding at the site of the ancient city of Gath, the home town of the biblical Philistine giant, Goliath; and how scientists are redrawing the picture of human evolution in Europe.  Find it on Amazon.com.

 

 

  

 

 

 

 

 

Rediscovering a Giant

Christofilis Maggidis is currently Director of Glas, Assistant to the Director of Mycenae, and President of the Mycenaean Foundation with nearly three decades of field experience at major archaeological sites, including Mycenae, Glas, Crete (Archanes, Idaion Cave), and Akrotiri (Thera). Since receiving his post-doctorate from Brown University and a research fellowship from Harvard, his research and teaching interests focus primarily on Minoan and Mycenaean art and archaeology, but they also include topics in Greek sculpture and architecture. Maggidis is the author of many articles, international conference papers, and three forthcoming books.

It all began some twenty-five years ago in the boiling-hot and humid basin of Kopais, a drained marshland in the region of Boeotia in Greece. In July of 1990, already a first-year graduate student at the University of Pennsylvania, I was working as a sector supervisor at the archaeological excavation of the Mycenaean citadel of Glas under the direction of my mentor, the late Sp. Iakovidis. At the time, our work focused on the east wing (C) in the area of the so-called “Agora,” the largest of three central enclosures that were protected by the cyclopean fortification walls of the citadel. The finds were astonishing: my team was unearthing a long storage building with ramps (K), which was filled with a thick destruction layer of burnt soil and crops, and residential quarters (M) that yielded frescoes, bronze pivot sockets, the first (and so far the only) seal stone ever found at Glas, and pottery dating the destruction (advanced LH III B2 – ca. 1220 BC). During intervals and occasionally in the afternoons I would walk the site with the other sector supervisor, my friend Dimitris Chaniotis, an archaeologist of the Department of Underwater Antiquities: it made no sense to either of us that two thirds of the vast area of the citadel (ten times the size of Tiryns and seven times that of Mycenae) would have been left void of any structures, as Iakovidis believed and published it, or that three kilometers of massive cyclopean walls would have been built to protect empty space. The site was literally covered with Mycenaean pottery sherds and at places wall corners were partly emerging from the soil, as also noted by R.H. Simpson in his plans and descriptions of the citadel (Mycenaean Greece, 1982). We promised ourselves that one day we would return to the site to further explore it. Dimitris never made it – he died young after a routine dive.

Almost twenty years later, while I was excavating the newly discovered Lower Town of Mycenae under the direction of Iakovidis, I made up my mind to pursue my long-standing goal. The last weekend of July 2009, I drove back to Athens to chat with Iakovidis. After having a cup of coffee at his apartment in the city, I posed the critical question: would he object to a re-investigation of Glas so long after his final publication of the site? At first, he tried to discourage me: the rest of the citadel was most probably empty; it would be a certain waste of funds, time and energy; and in any case, I had more important work to do at Mycenae with him, he said. I disagreed, remarking rather audaciously that he did not believe that there was a Lower Town at Mycenae either, which we did find after all. I promised that I would continue excavating and publishing at Mycenae with him ceaselessly as I had done for the past twenty years, and reminded him that at my age he was conducting not two, but three excavations at a time. He paused and stared at me enigmatically; if there were anything else to be discovered at Glas, I added, who else had better find it, if not his own protégé? He then smiled and nodded affirmatively. One year later, he was impatiently pacing in the hall of the McCarthy House at Mycenae in anticipation of my preliminary survey results; I still remember vividly his astonishment when I unfolded the new map of Glas before his eyes…

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glasBoeotiaandKopaisMapsMaps illustrating locations of Boeotia and Kopais

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Location

glasaerialviewA vast citadel, today known as “Gla(s)” or “Kastro” (castle), was built on top of an island-like, flat-topped bedrock outcrop rising 9.5-38 m above the plain below and encompassing an area of 20 ha or 49.5 acres or 200,000 square meters at the northeastern edge of the Kopais basin. The Mycenaean citadel of Glas was fortified by a massive cyclopean wall (5.50-5.80 m thick), which runs along the brow of the rocky natural platform for approximately 3 km, features four gates (including one double gate), and encompasses a cluster of three adjacent and intercommunicating central enclosures.

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GLASgeneralplanforsurvey

General plan of the Glas site

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The northern enclosure (II) (3.7 acres or 1.5 ha) surrounds an administrative and residential complex with two ‘twin’ long wings built at an angle on the summit of the rocky hill. Either wing contains a focal, single-storey megaron-like room (melathron) at its remote end, which was richly decorated with frescoes but lacks a throne or a fixed central hearth surrounded by interior columns. Both wings also contain several two-storey residential apartments communicating through two long corridors and a central staircase. The southern enclosure (III) (12.6 acres or 5.1 ha) encompasses two parallel, long (ca. 150 m.) storage buildings with a total capacity of ca. 2,000-2,500 metric tonnes, which were divided internally by cross-walls and were equipped with wide access ramps; other attached subsidiary rooms used as guard houses, personnel residential quarters, workshops, and kitchens (comprising totally ca. 660 sq. m.) were arranged quite symmetrically north and south of the storage facilities and were often decorated with frescoes (several rooms in E, Z, M, N, but also in A, H). The southern enclosure is connected with the south gate of the citadel via a road running through a central propylon on its southern peribolos wall, while another road connects the northern enclosure with the north gate of the citadel through a propylon on its eastern peribolos wall; the two adjacent enclosures communicate through a guarded internal gate. Another smaller enclosure is formed immediately east of the northern enclosure without any apparent entrance or visible ruins (I). Finally, an internal cross-wall running from the central tower of the southeast double gate to the north cyclopean wall separates and isolates the eastern sector of the citadel which was, thus, accessible only from the eastern entrance of the double gate (IV).

But what was the purpose of this vast Mycenaean citadel and how did it relate to its surrounding landscape? The Mycenaean palatial economy required specialized agricultural production to meet basic needs of a fast growing population and to afford surplus for exportation. However, the indigenous environmental circumscription and resource limitations of the Greek mainland eventually necessitated expansion and intensification of such surplus-geared specialized agricultural production. In the closing years of the 14th century BC (LH IIIA2) a large-scale engineering project of gigantic proportions was realized in Boeotia, perhaps a joint venture of the neighboring palaces of Thebes and Orchomenos, which effectively transformed the Kopais basin (ca. 20,000 ha) into the most fertile plain on mainland Greece: the submerged marshland was artificially drained by means of an ingenious and complex drainage control system which involved course diversion of six rivers and streams (Kephissos, Melas, Herkyna flowing from the west, Phalaros, Triton, Lophis on the south) from the basin into two wide peripheral canals, the North and the South Canal. These artificial and possibly navigable canals converged in the northeastern edge of the Kopais basin, exactly where Glas is located. The canals were flanked by massive watertight embankments (2 m high and 30 m wide) which were reinforced in places with double Cyclopean revetments bearing roads on their crowns, and were supplied with underground drains and channels leading the water overflow into artificial polders, natural bedrock cavities and sinkholes, or to the bay of Larymna (see area map above). The Kopais drainage project was colossal by both ancient and modern standards: it is estimated that 2,000,000 cubic meters of earth were moved to build the extensive dykes and massive embankments running for many kilometers on the periphery of the basin, more than 250,000 cubic meters of stone were used to revet the embankments, and the water overflow of the main canal is estimated at 100 cubic meters per second. The area once named Arne was still remembered as ‘multi-vined’ in the Iliad (“polystaphylon Arne,” II 507) and Orchomenos as one of the richest kingdoms of the heroic past (Iliad I. 381-382), whose wealth and power was associated in the ancient literary sources with the cultivation of the drained lake (Strabo IX.2.40; Pausanias IX.17.2; Diodorus IV.18.7).

Understanding the dynamics of the monuments with the formation/deformation processes of their related landscape ecosystem and their relative environmental impact is essential for an integrated synthesis. Land development, soil and water management, roads and bridges facilitating circulation and access to farmland, spatial organization, property delineation, and protection of land resources are essential parameters of systematic intensification of agriculture necessitated by a centralized economy.  Such public works of grand scale can only be designed and realized by palatial authorities aiming to appropriate ownership and exert political power. Therefore, land development and water management are also means of property claim which effectively transfered ancestral family/clan/community property rights to palatial management, control, and eventually possession, thus transforming not only landscape but also the dynamics of the socio-economic structure (integrative to coercive).

Glas was, therefore, interpreted as the regional storage center of production and fortified administrative seat and residence of two local rulers who were probably appointed by the palaces of Thebes and Orchomenos to supervise and maintain the complex draining system, organize and regulate the agricultural production, manage taxation, central storage and redistribution of products (crops and wine), and control and defend the satellite peripheral settlements and populations.

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glaskopaisView of the Kopais from Glas

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A Brief History of Glas and the Mycenaean World

The first Greeks descended through the Balkans into mainland Greece in ca. 2300/2200 BC (beginning of the Early Helladic III). They settled down mainly in the fertile inland, formed villages and eventually small towns, organized egalitarian societies and developed a distinct regional culture (Middle Helladic) based on agricultural economy and limited trade contacts with the Cyclades and eventually Crete. Rising to power was a long process realized through trade, diplomatic contacts, and constant warfare abroad and at home during the formative Early Mycenaean period (Late Helladic I-IIA/B, ca. 1650-1420/1410 BC). The Mycenaeans proved to be meticulous students: through increasing contacts with Minoan Crete, their trade horizons gradually expanded from the Balkans and Northern Europe to Egypt, the Levant, Cyprus, and Asia Minor. This gradual expansion is documented in the multicultural amalgam of stylistic, iconographic, technical elements and materials of the exquisite finds in the royal Shaft Graves at Mycenae (Minoan, Egyptian, European/Balkan, Hittite, and Helladic influences), the extensive corpus of foreign imports in Greece (orientalia and aegyptiaca), and the increasing Mycenaean exports abroad. Contemporary iconographical evidence (e.g. flotilla fresco from Akrotiri at Thera, silver Siege Rhyton from Grave Circle A at Mycenae) illustrate some of the early military achievements of the rising new power abroad: raiding foreign exotic lands (Egypt?) jointly with the Minoan fleet, sieging and sacking foreign towns. The Mycenaeans were recorded as Ahhiya or Ahhiyawa (~Homeric Achai(w)oi/Achaeans) in Hittite diplomatic documents already by 1420/1400 BC (since the reign of Tudhaliya II) and as Danaja or Tanaja (~ Homeric Danaoi) in Egyptian tribute lists like those of Thutmose III (ca. 1450 BC) and Amenhotep III (Karnak, ca. 1380 BC), or on a statue-base from Kom-el-Hetan (ca. 1380 BC), where Mukanu or mki[n] (~Mycenae) was listed first among mainland sites. In the following decades, the Danaja references in Egyptian sources gradually replaced the earlier Keftiu accounts and depictions of Minoan embassies of the 15th century BC, echoing contemporary archaeological evidence for drastic Mycenaean expansion and simultaneous reduction of Minoan presence abroad. This reversal of the political and military situation in the Aegean in the 14th century BC was triggered by the gradual infiltration and, arguably, military presence of the Mycenaeans on Crete in 1420/1410-1370 BC (Late Helladic IIIA1), in the wake of a devastating earthquake which had leveled the Minoan palaces and left the Minoan world in disarray. The Mycenaean occupation of Crete marked for the Minoans the beginning of the end and for the Mycenaeans the end of the beginning.

The Mycenaean world and particularly Mycenae flourished in the following two centuries (ca. 1420/1410-1200/1175 BC), a period known as Palatial Mycenaean or Late Helladic IIIA/B. The Minoan palaces served as modus operandi for the sociopolitical and economic organization of the rising Mycenaean states. This period is marked by regional centralization of power, state formation, and advanced socio-economic organization, geared towards efficient surplus of local production and overseas trade, both coordinated and regulated by the palace administration and sustained by palatial bureaucracy (Linear B). At home, the Mycenaean palaces were fortified into citadels, large-scale public works were carried out (such as the Kopais drainage system, the Tiryns dam, the Pylos bay) and production was systematized. Abroad, the Mycenaeans assumed control over the Minoan colonies and trade outposts in the Aegean and Eastern Mediterranean, and further expanded to the east and west, thus firmly establishing their own trade network and successfully succeeding the Minoans in the overseas trade (Mycenaean thalassocracy). A vital sector of the centralized palatial economy and sociopolitical structure, overseas trade required not only a tight network of island and coastal outposts, but also highly effective diplomacy. Diplomatic contacts involved exchange of royal letters and gifts, ambassadors, official royal visits, treaties and bilateral agreements. Certain Mycenaean palaces like Mycenae, Thebes, and Pylos maintained a protagonistic role in overseas trade of luxury/prestige goods and diplomatic contacts at the highest level. The organized trade of luxury/prestige goods which required a well-coordinated control mechanism for acquiring raw materials and producing artifacts or other products to be marketed in exchange, afforded luxury to the elite, while the king’s special access to external prestige goods reinforced royal image and authority. The exquisite artifacts found in tombs in the area of Mycenae, Pylos, and Thebes, as well as the great variety of precious materials recorded in palatial inventory lists and yielded in the archaeological contexts of palatial workshops further document privileged connections and constant contact with Egypt, Anatolia, and the Near East, closely following the successful Minoan archetype. The effective regulation of production and organization of the socio-economic life by the Mycenaean palatial administration was followed by a long period of prosperity and stability which led to population growth, as indicated by the rapid increase in the number and size of the Mycenaean settlements and cemeteries, and their geographical distribution in the homeland and abroad in the 13th century BC.

In the course of the 12th century BC, combined, rapid and dramatic changes in several socio-economic, political, and environmental variables affected a fragile balance and triggered a chain reaction of progressively magnified and multiplied cumulative effect, resulting inevitably in a catastrophic systems collapse which caused the decline and fall of the Mycenaean world. The latter half of the 13th century BC was marked by intense and frequent seismic activity in certain regions of mainland Greece (two major destruction horizons were recorded in the Argolid in ca. 1240 BC and 1200/1180 BC). These ‘earthquake storms’ caused severe structural damage, local fires, disorganization and disarray, immediate allocation of manpower for costly and energy-consuming repairs, and hence disruption of economic life and trade. A typical example of a low-diversified surplus-geared economy without sufficient alternative resources to fall back to, Mycenaean economy could hardly withstand and recover from temporary setbacks or survive the combined impact of various factors, such as natural catastrophes (earthquakes, extensive fires, severe climatic conditions, droughts, crop failure), ecological overexploitation, and palatial military/financial overextension. Natural disasters may have acted as catalysts for a catastrophic system failure, inflicting the final blow to the system: they eliminated short-term food supplies, destroyed high-yield specialized agricultural production and livestock, and consequently upset dependent satellite industries (flax, textile, wine and oil industries), disrupted trade, damaged the infrastructure, and demoralized the population. Inevitably, civil unrest, internal wars and raids by starving populations on less affected regions followed, causing decentralization and political fragmentation, dissolution of the socioeconomic nexus, severe depopulation of vital areas, and emigration to the coasts, islands, and overseas.

The three major Boeotian palatial centers, Thebes, Orchomenos, and Glas were destroyed by fire slightly earlier than Pylos, sometime in the advanced LH III B2 (ca. 1220/1200 BC), most likely by enemy action; Thebes and Orchomenos continued to exist and were reoccupied on a smaller scale, whereas Glas and the Kopais drainage works were completely destroyed and abandoned. This regional destruction may be associated with internal conflicts between the Mycenaean palaces of Thebes and Orchomenos, or, alternatively, may be attributed to external aggression by Mycenaeans from the Argolid. Both versions have been well-preserved in mythology, literature, and folk memory: according to mythical tradition, Thebes attacked and destroyed Orchomenos, with Heracles blocking the sinkholes and flooding the lake (Strabo IX.2.40), and the Argives repeatedly campaigned against and finally besieged Thebes (Seven against Thebes, and the Epigonoi); accordingly, the palace of Thebes (Kadmeia) was not included among the Boeotians in the “Catalogue of Ships” (Iliad II.494-516), a separate and possibly much older poem later embodied in the Iliad, and the king (wanax) of Thebes did not participate in the Trojan War which allegedly took place shortly after the destruction of Thebes.

The movement of peoples (called “Sea People” in the Egyptian sources) and the subsequent widespread destructions in Asia Minor and the Levant in the beginning of the 12th century BC led to the collapse of the Hittite Empire, but also eradicated the Mycenaean trade outposts and colonies in the East. The loss of their off-shore trade posts disrupted foreign trade and paralyzed the overseas sector of the centralized palatial economy, which, given the peripheral geopolitical location of Mycenaean Greece, depended on the contact with the main zone of exchange through intermediaries. That must have been another terrible blow to the already distressed and staggering palatial economy, forcing it to fall back on domestic production and isolation. In the course of the 12th century BC many small settlements in several regions (i.e. Argolid, Achaia, Attica, Euboia, Thessaly, islands, Cyprus, Asia Minor) sustained continuity and achieved substantial revival with their limited production and trade capacity, despite the general decline and fragmentation; on the contrary, the citadels of Mycenae, Tiryns, and Thebes, though partially repaired and reoccupied, and despite attempts for economic revival, never fully recovered and were gradually abandoned. The deterioration of the same system that had strengthened central palatial authority through the coordination and regulation of political and socioeconomic life resulted inevitably in the dissolution of the palaces’ power, decentralization and fragmentation of Mycenaean Greece. It appears, therefore, that it was the Mycenaean elite and its diagnostic, key elements (palatial administration and writing, foreign contacts and luxury goods, monumental art and megalithic architecture) that suffered the most from the system meltdown, whereas at a lower level the impact was less direct, and the core of Mycenaean society changed more gradually (in terms of basic material culture and cultural practices) and evolved organically into the Early Iron Age Greece.

 

History of the Excavations

The citadel of Glas was partially excavated (central enclosures) by T.A. de Ridder (1893), I. Threpsiades (1955-1961) and Sp. Iakovidis (1981-1983, 1990-1991). The exemplary publication by Sp. Iakovidis (1989, 1998, 2001) of earlier and recent excavations in the Mycenaean citadel of Glas and the synthesis of archaeological, geoarchaeological, and historical evidence established the form, function, organization, importance and uniqueness of this archaeological site. Recently, however, the archaeological plan of Glas changed drastically as a result of a systematic geophysical survey (2010-2011) which was conducted under my direction and the auspices of the Athens Archaeological Society, and was generously funded by Dickinson College and the Institute for Aegean Prehistory (INSTAP). The geophysical survey was carried out by a team of archaeologists, graduate and undergraduate students, and teams of specialists from INSTAP, led by Prof. A. Stamos, and the Exploration Geophysics Laboratory of the Univ. of Thessaloniki, led by Prof. Gr. Tsokas. The geophysical survey of Glas changed the archaeological picture of the site but also questioned the established interpretations of its function and purpose. The final results of the systematic geophysical survey are being currently prepared for publication in an international archaeological journal.

Posing the Problem: fort or fortified settlement?

The form and layout of the citadel of Glas, as published by Iakovidis, did present certain spatial peculiarities:

  • only one third or less of the total area of the citadel (49.5 acres or 20 ha) was occupied by various buildings and structures, whereas no other ruins were traced anywhere else in the citadel (V);
  • the northern and southern enclosures (II, III) surround and demarcate groups of buildings within the citadel, delineate their spatial arrangement, differentiate between storage areas and administrative or residential sectors, and isolate these sectors from the remaining (arguably empty) fortified area for some elusive reason;
  • the northeastern enclosure (I) contains no visible ruins, bears no definite entrance (except perhaps a couple of gaps in the peribolos wall that may have provided access), and its use remained obscure;
  • the eastern enclosure (IV) is separated and isolated from the remaining fortified area, being apparently accessible only from outside the walls through the eastern entrance of the double Southeast Gate, and its precise use –being arguably void of any visible ruins– remained unclear.

The systematic geophysical survey of the citadel of Glas focused mainly on unexplored sectors aiming to produce new architectural evidence and further define the topography, layout, and use of the citadel, as well as trace earlier occupation phases of the site. The project involved remote-sensing investigation of the following areas:

  • the northern and southern enclosures (II, III) to trace potentially other Mycenaean buildings, subsidiary structures, storage areas, retaining walls, terraces, courtyards, and roads;
  • the vast ‘void’ fortified area (V) to detect potentially a Mycenaean settlement within the citadel and/or earlier occupation remains on the hill of Glas (as suggested by scattered Neolithic pottery and stone tools);
  • the northeastern enclosure (I) and the eastern enclosure of the citadel (IV) to detect potentially Mycenaean ruins or diagnostic geomagnetic traces of human activities related to the use of land (e.g. cultivation, extensive burning, metallurgy, walking surfaces and artificial terracing).

 

Re-discovering Glas: Methods and Results of the Geophysical Survey

Aside from certain areas of the citadel (plateaus or steep slopes) that have been severely eroded down to the natural bedrock, the natural fill of the hill is approximately 1 m deep or deeper, when it contains artificial fills, archaeological layers, and ruins. The geophysical remote-sensing survey was conducted with a Ground Penetrating Radar (GPR) and a Fluxgate Gradiometer. Both types of equipment produce detailed images to a depth of 2 m. The portable geomagnetometer (Geoscan FM256 Fluxgate Gradiometer processed with Geoplot software) detects positive or negative anomalies in the magnetic field of the Earth and records them as dark grey or black features (positive magnetic anomalies potentially reflecting ditches, backfills, clay floors, intense firing, burnt mudbrick, metal finds) and light grey or white features (negative magnetic anomalies possibly indicating stone walls, pavements, stone piles). The fluxgate gradiometer offers several advantages, namely speed of geoprospection (on average one acre per day), portability, and use on irregular terrains or over low vegetation, as it does not involve any contact with the ground; on the down side, however, the gradiometer reproduces two-dimensional geoprospection images of the magnetic traces which are conflated and compressed on a single plane without any real indication of depth. On the other hand, the GPR (Subsurface Interface Radar or SIR-2000 with a 400MHz antenna) is considerably slower, as it is wheeled on the ground and, therefore, requires extensive preparatory work in the form of surface clearing; furthermore, it involves collection of data in two perpendicularly-oriented datasets with repeated passing on closely-spaced transects of an orthogonal grid to better detect subsurface features. The GPR, however, generates three-dimensional geoprospection images of the buried remains (stone walls and floors, rubble piles) with precise depth scale. The vast size of the citadel, the occasionally rough terrain and wild bush vegetation on the hill, and the need for time efficiency dictated a well-planned combination of both methods: at first, extensive and generalized use of the gradiometer for fast and immediate results, followed by targeted use of the GPR on select areas or sectors that present strong or diagnostic geomagnetic traces. Such combination of these two methods proved exceptionally successful and precise at Mycenae (2003-2013), where the systematic geophysical survey detected, recorded, and plotted extensive remains of the Lower Town outside the citadel.

Other geoprospection methods, such as Electrical Resistivity and Quickbird satellite panchromatic and multispectral imagery were also successfully employed at Glas. Geodetic measurements, the plotting of the survey grid, and the detailed mapping of all buried remains and features were done with the aid of Differential Global Positioning System (GPS) and Total Station. The topographical, archaeological, spatial, and geophysical data will be embedded in the G.I.S. database of Dickinson College and 3-D digital maps.

The geophysical survey focused on the two large northern enclosures (I, II), the western/central sector (V), and the eastern sector of the citadel (IV). The indications from the enclosures were rather poor due to severe ground erosion on the summit and the slopes. The results, however, from the western/central and eastern sectors of the citadel and the cyclopean fortification wall were impressive. Several buildings were detected, including three large, well-built complexes (D, F, J) consisting of long rectangular buildings with several large rooms. Clusters of walls, rooms, small buildings, and silos (E, G, K, N) were located between the large complexes, occasionally abutting on the inner face of the cyclopean wall.

In the northwestern part of the citadel lies the West Building (D) with an E-W orientation. This building complex consists of an oblong rectangular structure divided by at least four parallel partition walls into a row of five rooms, with the central two rooms being of equal size. Another parallel room and few wall remains were traced immediately south of the West Building and may belong to the same complex. A cluster of scattered rooms (E) were further explored in the vicinity of the West Gate, which may belong to a residential quarter, as indicated by their small size, simple plan, different orientation, and relatively poor construction. Among them, immediately north of the West Gate, lies a two-room (guard house?) abutting on the inner face of the western cyclopean wall (West Gate Building), while, farther south of this gate, four semi-circular rooms (silos?) were built against a recess of the western cyclopean wall.

The southwestern area of the citadel is accessible from both the West Gate and the South Gate, and is dominated by the plateau of a low hill, which is occupied by a large building complex and possibly enclosing other important structures as well (P, Q, R). The Southwest Complex (F) consists of at least three parallel, oblong rectangular wings of similar ground plan and same orientation as the West Building, divided by parallel partition walls into rows of large rooms. The complex has solid walls constructed of roughly dressed, large blocks. The size, construction and ground plan of the Southwest Complex and the West Building recall the two parallel, long storage buildings in the southern central enclosure (Sector III: B, C). Another cluster of scattered buildings, rooms, and wall remains (Southwest Cluster, G) were detected to the southeast of the Southwest Complex, which may belong to a residential quarter, as indicated by their relatively small size, simple plan, different orientation and construction.

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glaspic3generalplanThe Glas site general plan

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In the southern sector of the cyclopean wall, approximately midway between the West and the South Gate, two sally ports were discovered, thus raising the number of gates in the citadel of Glas to six. The southwest sally port (H) is 3 m wide and gives access to a low terrace in front of the wall that affords unobstructed viewing of the plain to the south. The other sally port (I), located 60 m to the east, facilitates safe descent to the plain below via a narrow and steep staircase that was partly built and partly hewn out of the bedrock, providing access to a cave at the base of the rocky hill. Between the two sally ports were identified five narrow rectangular niches (1 m x 3 m) opening into the outer face of the wall with no access from within the citadel, but once accessible possibly through trapdoors from the upper part of the wall. These niches were likely sentry boxes associated with the guarding of the adjacent sally ports. Two more niches were located in the northern and western sectors of the cyclopean wall. Finally, traces of large rectangular rooms (casemates or towers) were detected within the thickness of the cyclopean wall in the western sector (100 m north of the west gate), in the northeastern sector (70 m east of the north gate), and in the southwestern sector (200 m west of the south gate and east of the sally ports).

The geophysical survey expanded eventually in the central and the eastern part of the citadel with equally impressive results. In the central area (Sector V) lies the South Complex (J), which consists of a large building with a NW-SE orientation, flanked by a parallel oblong rectangular wing. Farther to the northeast of this complex were detected a cluster of scattered buildings, rooms, and wall remains (Central Cluster, K).  This cluster includes a multi-room building (Central Building 1), an oblong rectangular wing of another building with an E-W orientation (Central Building 2), and a cyclopean cistern (L), partly built and partly hewn out of the bedrock, which is associated with a long retaining wall with a N-S orientation. The oblong wings of the central buildings, though smaller in size, are similar to those of the West Building and the Southwest Complex.

The eastern part of the citadel (between Sectors IV and V) preserves a surviving corner of the cross-wall that ran at an angle from the northeastern course of the cyclopean wall to the central tower of the double Southeast Gate.SE orientation, flanked by a parallel oblong rectangular wing. Farther to the northeast of this complex were detected a cluster of scattered buildings, rooms, and wall remains (Central Cluster, K).  This cluster includes a multi-room building (Central Building 1), an oblong rectangular wing of another building with an E-W orientation (Central Building 2), and a cyclopean cistern (L), partly built and partly hewn out of the bedrock, which is associated with a long retaining wall with a N-S orientation. The oblong wings of the central buildings, though smaller in size, are similar to those of the West Building and the Southwest Complex. This cross-wall separated and isolated the eastern part of the citadel (Sector IV) which was, thus, accessible only from the eastern entrance of the double Southeast Gate. This isolated eastern sector of the citadel contained scattered structures (East Cluster, N), including several retaining walls for terracing with an E-W orientation, walls and rooms of various buildings, and at least ten circular structures (2.5-3 m in diameter), possibly silos(?). Six of these circular structures are located in the center of the eastern sector, while four more were traced near the northeastern course of the cyclopean wall. Outside the eastern course of the cyclopean wall was found a built staircase (East Staircase, O); furthermore, several caves and sinkholes were located, mapped, and briefly surveyed at the foot of the rocky hill of Glas.

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Assessing the Importance of Glas

The old archaeological picture of Glas changed drastically and, consequently, the traditional interpretation of the citadel as a fort is now being challenged. So far, the citadel of Glas presented the layout of a fort with enigmatic spatial peculiarities; our geophysical survey established that the citadel area was not left void of structures outside the central enclosures after all, but was apparently covered with many buildings of various uses, including several large, well-built complexes, extensive residential quarters and clusters of buildings stretching between these complexes, circular structures (silos?), a cistern, sally ports, staircases, retaining walls and terraces. Glas, therefore, may not have been merely a fort maintaining the drainage works and managing agricultural production; apparently, there is a whole city within the walls, whose identification raises interesting questions about Mycenaean political geography. The Homeric poems (Catalogue of Ships) and later literary sources list several important Mycenaean towns in the Kopais area (Arne among them); could Glas be identified with one of these towns? Alternatively, is it possible that Glas was a third, unknown so far, regional palatial center? If so, we would need to explore the dynamics between this regional administrative center and satellite peripheral settlements in the Kopais basin, and define the relations between the palatial centers of Glas, Orchomenos and Thebes in the framework of the Mycenaean political geography. Finally, a far more intriguing hypothesis: what if Glas is Orchomenos? Is it possible that the palatial authorities of Orchomenos moved their palace and settlement to the most strategically important and highly defensible location available after the draining of the marshland of Kopais in the 13th century BC, while using the original site of Orchomenos mainly as an ancestral burial place?

Unfortunately, despite such astonishing discoveries and fascinating prospects, the state-approved, five-year, systematic geophysical survey of Glas was abruptly suspended by the Athens Archaeological Society in 2012 after only the first two years of operation, on grounds of complete lack of interest in further exploring the site. The systematic investigation of the Mycenaean citadel of Glas will hopefully continue and must intensify in the next few years to unearth convincing answers to all these intriguing questions. The geophysical survey and excavation of this monumental site can offer field training to hundreds of undergraduate and graduate students through the D.E.P.A.S. project of Dickinson College, great opportunities for faculty/student collaborative research, doctoral theses, interdisciplinary collaboration and leading scholarship for scholars and researchers from around the world.

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For information, see the Project website: http://glas-excavations.org

Contact information to participate or donate to the project: contact Prof. Chr. Maggidis at [email protected] and (717) 245-1014

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Voyaging in prehistoric Polynesia

Chemical “fingerprints” tie prehistoric woodworking tools in the Southern Cook Islands to basalt extracted from quarries thousands of kilometers across the Pacific Ocean, according to a study. Excavations at the Tangatatau rockshelter on Mangaia Island in the Southern Cook Islands have yielded well-dated stratigraphic sequences spanning hundreds of years of human occupation. Artifacts within these sequences include a signature basalt adze known to be imported throughout Polynesia for more than 300 years beginning in the early AD 1300s. Marshall Weisler, Patrick Kirch, and colleagues used a technique to geochemically “fingerprint” 36 Tangatatau rockshelter artifacts related to adze making and to match the basalt to its geological source. According to the authors, some of the source material used to make the tools found its way to Mangaia across great distances, from quarries located in the Austral Islands, Tutuila in American Samoa, and the Marquesas archipelago, around 2,400 km to the east in French Polynesia. Furthermore, when placed in temporal context, the findings demonstrate an extensive voyaging network beyond the Cook Islands that lasted around 300 years into the early 1600s. The authors suggest that long-distance interactions among archipelagos continued to influence cultural development and social hierarchies in East Polynesia for more than a century after the region was first colonized.

The study was published as “Cook Island artifact geochemistry demonstrates spatial and temporal extent of pre-European interarchipelago voyaging in East Polynesia,” by Marshall I. Weisler et al., in the Proceedings of the National Academy of Sciences.

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 Excavation in progress in 1991 at the Tangatatau Rockshelter, Mangaia Island. Image courtesy Patrick V. Kirch.

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polynesiapic2Illustration of basalt adze sections from the Tangatatau Rockshelter. Samples in the upper panel were geochemically sourced to Samoa. Image courtesy Patrick V. Kirch.

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Source: News release of the Proceedings of the National Academy of Sciences

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Fire discovery sheds new light on ‘hobbit’ demise

UNIVERSITY OF WOLLONGONG—Crucial new evidence has revealed modern humans (Homo sapiens) were likely using fire at Liang Bua 41,000 years ago, narrowing the time gap between the last ‘hobbits’ (Homo floresiensis) and the first modern humans at this site on the Indonesian island of Flores.

The research, led by the University of Wollongong Australia (UOW) and Indonesia’s National Research Centre for Archaeology and published in the Journal of Archaeological Science today (June 30, 2016), is among the earliest evidence of modern humans in Southeast Asia.

Lead author Dr Mike Morley, a research fellow and geoarchaeologist at UOW’s Centre for Archaeological Science (CAS), said the find is “extremely important” in the quest to discover why and how the ‘hobbit’ hominin disappeared, around 50,000 years ago.

The story of the ‘hobbit’ starts in 2003, when an international team of researchers, including those from UOW, uncovered the remains of a previously unknown species of small-statured hominins at Liang Bua. Homo floresiensis, affectionately dubbed ‘the hobbit’ for her tiny one-metre stature, would rewrite history books, capture imaginations around the world and go on to be dubbed ‘the scientific find of the century’.

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 Liang Bua cave in Indonesia. Credit: University of Wollongong

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After revised dating estimates of the original ‘hobbit’ skeleton—published in Nature in March—placed the bones between 190,000 and 60,000 years old (it was previously believed to have survived on Flores until as recently as 12,000 years ago), and the most recent stone tools at 50,000 years old, a gap in the chronology of the sediment sequence opened up—researchers had no idea what happened at the site between 46,000 and 20,000 years ago.

Dr Morley and colleagues, including CAS geoarchaeologist Professor Paul Goldberg and archaeologist Thomas Sutikna, were able to fill that gap, detailing environmental changes at the site between 190,000 and 20,000 years ago and revealing something rather unexpected: physical evidence of fire places that were used between 41,000 and 24,000 years ago, most likely by modern humans for warmth and/or cooking.

“We now know that the hobbits only survived until around 50,000 years ago at Liang Bua. We also know that modern humans arrived in Southeast Asia and Australia at least 50,000 years ago, and most likely quite a bit earlier” Dr Morley said.

“This new evidence, which is some of the earliest evidence of modern human activity in Southeast Asia, narrows the gap between the two hominin species at the site.”

Given that no evidence for the use of fire by Homo floresiensis during roughly 130,000 years of presence at the site has been found, Dr Morley said modern humans are the most likely candidates for the construction of the fire places.

“Finding the fire places in such an excellent state of preservation allows insights into the behaviour of these people,” he added.

Dr Morley said researchers at Liang Bua are now searching for more evidence that further closes that gap in time; evidence that could place modern humans at exactly the right place, at the right time, possibly revealing an overlap between the two species, which could have led to interaction between the two species and ultimately the hobbit’s extinction.

As part of the study, Dr Morley used a technique called ‘micromorphology’ to examine the sediments taken from the site at a microscopic level of detail. After extracting sediment blocks from the rear of the cave (a different area from where the hobbit fossils were recovered), the samples were shipped back to UOW and wafer-thin slices, just 30microns thick (1 micron is 1000th of a millimetre), were analysed under a microscope. Spectroscopic analyses of the sediments were made by CAS archaeological chemist Dr Linda Prinsloo, and new radiocarbon dates were used to determine the age of each layer examined for the study.

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Above and below: Dr. Morley with sediment sample. Credit: Paul Jones/University of Wollongong

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The study, which also acts as further evidence of Homo sapiens dispersal through Southeast Asia and into Australia around 50,000 years ago, comes just weeks after UOW researchers, also from CAS, announced they had found 700,000 year old fossilised remains of what appear to be ancestors of the ‘hobbit’. The remarkable finds quash any remaining suggestion that Homo floresiensis was a modern human afflicted with a disease causing the diminutive stature.

Source: Edited from the University of Wollongong (UOW) news release

UOW will offer a free four-week online course on the science behind the Hobbit, commencing July 18, 2016. Sign up today to secure your place in this quest of discovery and adventure: https://www.futurelearn.com/courses/homo-floresiensis.

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Did this news release interest you? See the major feature premium article, The Mystery of Flores, about Homo floresiensis in the Summer 2016 issue of Popular Archaeology.

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37,000-year-old skull from Borneo reveals surprise for scientists

UNIVERSITY OF NEW SOUTH WALES—Sydney – A new study of the 37,000-year old remains of the “Deep Skull” – the oldest modern human discovered in island South-East Asia – has revealed this ancient person was not related to Indigenous Australians, as had been originally thought.

The Deep Skull was also likely to have been an older woman, rather than a teenage boy.

The research, led by UNSW Australia Associate Professor Darren Curnoe, represents the most detailed investigation of the ancient cranium specimen since it was found in Niah Cave in Sarawak in 1958.

“Our analysis overturns long-held views about the early history of this region,” says Associate Professor Curnoe, Director of the UNSW Palaeontology, Geobiology and Earth Archives Research Centre (PANGEA).

“We’ve found that these very ancient remains most closely resemble some of the Indigenous people of Borneo today, with their delicately built features and small body size, rather than Indigenous people from Australia.”

The study, by Curnoe and researchers from the Sarawak Museum Department and Griffith University, is published in the journal Frontiers in Ecology and Evolution.

The Deep Skull was discovered by Tom Harrisson of the Sarawak Museum during excavations at the West Mouth of the great Niah Cave complex and was analysed by prominent British anthropologist Don Brothwell.

In 1960, Brothwell concluded the Deep Skull belonged to an adolescent male and represented a population of early modern humans closely related, or even ancestral, to Indigenous Australians, particularly Tasmanians.

“Brothwell’s ideas have been highly influential and stood largely untested, so we wanted to see whether they might be correct after almost six decades,” says Curnoe.

“Our study challenges many of these old ideas. It shows the Deep Skull is from a middle-aged female rather than a teenage boy, and has few similarities to Indigenous Australians. Instead, it more closely resembles people today from more northerly parts of South-East Asia.”

Ipoi Datan, Director of the Sarawak Museum Department says: “It is exciting to think that after almost 60 years there’s still a lot to learn from the Deep Skull – so many secrets still to be revealed.

“Our discovery that the remains might well be the ancestors of Indigenous Bornean people is a game changer for the prehistory of South-East Asia.”

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Bones from the 37,000 year old Deep Skull from Niah Cave in Sarawak. Image credit: Curnoe

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The Deep Skull has also been a key fossil in the development of the so-called “two-layer” hypothesis in which South-East Asia is thought to have been initially settled by people related to Indigenous Australians and New Guineans, who were then replaced by farmers from southern China a few thousand years ago.

The new study challenges this view by showing that – in Borneo at least – the earliest people to inhabit the island were much more like Indigenous people living there today rather than Indigenous Australians, and suggests long continuity through time.

It also suggests that at least some of the Indigenous people of Borneo were not replaced by migrating farmers, but instead adopted the new farming culture when it arrived around 3,000 years ago.

“Our work, coupled with recent genetic studies of people across South-East Asia, presents a serious challenge to the two-layer scenario for Borneo and islands further to the north,” says Curnoe.

“We need to rethink our ideas about the region’s prehistory, which was far more complicated than we’ve appreciated until now.”

Source: University of New South Wales news release.

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Archaeologists discover new origins for domesticated rice

UNIVERSITY OF TORONTO—Chew on this: rice farming is a far older practice than we knew. In fact, the oldest evidence of domesticated rice has just been found in China, and it’s about 9,000 years old.

The discovery, made by a team of archaeologists that includes University of Toronto Mississauga professor Gary Crawford, sheds new light on the origins of rice domestication and on the history of human agricultural practices.

“Today, rice is one of most important grains in the world’s economy, yet at one time, it was a wild plant…how did people bring rice into their world? This gives us another clue about how humans became farmers,” says Crawford, an anthropological archaeologist who studies the relationships between people and plants in prehistory.

Working with three researchers from the Provincial Institute of Cultural Relics and Archaeology in Zhejiang Province, China, Crawford found the ancient domesticated rice fragments in a probable ditch in the lower Yangtze valley. They observed that about 30 per cent of the rice plant material – primarily bases, husks and leaf epidermis – were not wild, but showed signs of being purposely cultivated to produce rice plants that were durable and suitable for human consumption. Crawford says this finding indicates that the domestication of rice has been going on for much longer than originally thought. The rice plant remains also had characteristics of japonica rice, the short grain rice used in sushi that today is cultivated in Japan and Korea. Crawford says this finding clarifies the lineage of this specific rice crop, and confirms for the first time that it grew in this region of China.

Crawford and his colleagues spent about three years exploring the five-hectare archaeological dig site, called Huxi, which is situated in a flat basin about 100 metres above sea level. Their investigations were supported by other U of T Mississauga participants – anthropology professor David Smith and graduate students Danial Kwan and Nattha Cheunwattana. They worked primarily in early spring, fall and winter in order to avoid the late-spring wet season and excruciatingly hot summer months. Digging 1.5 metres below the ground, the team also unearthed artifacts such as sophisticated pottery and stone tools, as well as animal bones, charcoal and other plant seeds.

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 Bundles of farmed rice in China. Popolon, Wikimedia Commons

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This study builds on Crawford’s previous research into early agriculture in China, in which he has examined the ancient settlements, tools, and plant and animal management efforts that occurred in different regions of the country. He is interested in better understanding the forces that compelled our human ancestors to transition from hunters and gatherers to farmers.

“The question I ultimately want to answer is, what pushed them to move wholeheartedly into the farming regime? Why did they reduce their emphasis on hunting and expand into crop production?” Crawford says. “People did what they needed to do to make their lives more manageable and sustainable, and the unintended consequence was farming. With this rice discovery, we’re seeing the first stages of that shift.”

Source: University of Toronto news release

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Iraqi Kurdistan site reveals evolution toward the first cities of Mesopotamia

UNIVERSITAT AUTONOMA DE BARCELONA—Researchers from the Universitat Autònoma de Barcelona have revealed the latest archaeological discoveries on the origins and consolidation of the first farming societies in Upper Mesopotamia, in Iraqi Kurdistan.

The research is the result of a project conducted by an interdisciplinary team under the leadership of professors Anna Gómez Bach and Miquel Molist, from the UAB Department of Prehistory. The area had been closed off since the 1990s to archaeological research and the UAB is the only research team from Spain participating in the dig.

After many years working in Syria and Turkey, where all work was halted due to the military instability of the area, the research team coordinated by professor Miquel Molist continues to study the origins and consolidation of the first farming societies, in this case in the most eastern part of Upper Mesopotamia.

Iraqi Kurdistan is one of the most interesting regions of the Middle East, given that since the 1990s and until three years ago no archaeological research could be conducted there, making it a new geographic and historical site in which to conduct archaeological studies.

Currently there are several European and American teams focusing on research in the area, such as the UAB team, thanks to a collaboration agreement between the UAB and the Salahaddin University-Erbil. The first campaign was conducted in autumn 2015 and the second took place in May and in the first week of June 2016.

The Gird Lashkir site is an archaeological tell with exceptional potential, with some 14 metres of sediments and a surface of approximately 4 hectares occupied by ancient populations. It is located close to the temporary river of Wadi Kasnazan and the cities of Kasnazan and Banaslawa, pertaining to the current capital of Kurdistan, Erbil (northern Iraq).

The archaeological dig has revealed a series of occupations ranging from the Neolithic period to the first millennium BCE.

Over 150 m2 have been uncovered, which, distributed along the slopes of the tell, have allowed researchers to uncover well conserved architectural remains of specialised buildings, personal houses and working areas located in exterior areas.

Researchers were able to differentiate between the more recent settlements, located in the higher part of the tell and dating from the historic Neo-Assyrian period (until the end of the second millennium BCE). Several objects discovered from this era stand out and could indicate that one of the buildings was used as a warehouse, and could be linked to the exchange of goods.

Another very extensive and important settlement, probably from the Early and Middle Bronze Age (more specifically from Ninevite V, 2600-2550 BC) was confirmed, with habitat vestiges in several areas of the tell and the discovery of very important objects.

The most ancient period, discovered on site during the latest campaign, is a settlement dated to the Uruk period (ca. 4000 to 3100 BCE), in one of the deepest digs conducted at some 4 meters below the current ground level. Remains were also recovered from the Neolithic’s Ubaid and Halaf periods (6000 to 4500 BCE).

The discoveries made at this site are significant in that there are no other sites to date that show a human occupation similar to the one in the area of Erbil and because of what they reveal about the evolution of human settlement in the western plain of northern Kurdistan. The good preservation of the remains and the importance of the objects found confirm the potential of the settlement as a historical record bearing on our understanding of the developemnt of the first cities of Mesopotamia.

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 Archaeological objects found at the Gird Lashkir site by the UAB team. Courtesy UAB

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The UAB research team is the only one from Spain participating in the new archaeological research activities in Iraqi Kurdistan, and has established cooperation and heritage development relationships with local institutions (specifically with the Erbil Museum and the Directorate General of Antiquities).

After the dig campaign, researchers will work in the laboratory to conduct an in-depth study of all the material elements discovered and carry out archaeometric analyses with radiocarbon dating, as well as determine the raw materials of the objects.

Work at the site will continue in 2017 with the final restoration of the most significant artifacts, which will be exhibited at the Archaeological Museum of Erbil.

The Gird Lashkir project, initiated in 2015 by the team at the Prehistoric Middle Eastern Archaeology Seminar (Department of Prehistory of the Universitat Autònoma de Barcelona) with the collaboration of the Directorate General of Antiquities of Kurdistan and the Salahaddin University-Erbil, was also financed by the Directorate General for Fine Arts and Cultural Goods, and the Archives and Libraries of the Spanish Ministry for Education, Culture and Sports.

Source: Edited and adapted from the subject UAB press release.

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Travel with Popular Archaeology and personally see some of the most exciting archaeological discoveries underpinning the historical basis for the places and events of the biblical accounts!

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This richly illustrated issue includes the following stories: Recent findings shedding new light on the whereabouts of the remains of Philip of Macedon, father of Alexander the Great; how an archaeologist-sculptor is bringing bones of the dead back to life; archaeologists uncovering town life at the dawn of civilization; an exclusive interview with internationally acclaimed archaeologist James M. Adovasio about what makes the Meadowcroft Rockshelter prominent in the ongoing search for the first Americans; what archaeologists are finding at the site of the ancient city of Gath, the home town of the biblical Philistine giant, Goliath; and how scientists are redrawing the picture of human evolution in Europe.  Find it on Amazon.com.

 

 

  

 

 

 

 

 

Found: The “Throne of Agamemnon”

Archaeologists have found and identified a large fragment of what is likely the throne of a Mycenaean king at the site of ancient Mycenae in Greece.  

Dubbed the “throne of Agamemnon”, after the famous mythical king who led the united Greek armed forces during the Trojan War, it was first discovered on June 12, 2014 by two research team graduates, Erik deMarche and Dan Fallu, who were working under the leadership of Prof. Christofilis Maggidis (Associate Professor of Dickinson College, President of the Mycenaean Foundation and Field Director of Excavations at the Lower Town of Mycenae and Glas). They were conducting a paleo-hydrological survey in the Chavos ravine on the south side of the famous Mycenaean citadel remains at Mycenae, Greece. It is reported to be the only throne of a Mycenaean palace ever found so far on mainland Greece. 

The large stone seat fragment was later studied exhaustively by an interdisciplinary team of specialists for two years (Prof. C. Maggidis, Prof. H. Dierckx, Prof. N. Lianos, Prof. A. Stamos, D. Fallu, E. deMarche) and was securely identified as part of the royal throne of the last phase of the Mycenaean palace at Mycenae (1250-1200 BC). The throne fragment was found literally below the palace, where it had fallen, rolled and subsequently was buried by the river fill, when the southeastern part of the palace, including the throne and one of the four columns surrounding the central hearth, collapsed in the ravine as a result of the catastrophic earthquakes that destroyed the palace of Mycenae and caused extensive damage to the citadel and the town in ca. 1200 BC. The missing column base had already been retrieved 60 years ago in the very same area where the throne was recently discovered.

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The huge stone fragment of the Mycenaean throne. Courtesy the Mycenaean Foundation 

 

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Scientists point to a number of factors supporting the identification: (1) the find-spot of the object and related topographical, archaeological, and contextual parameters; (2) the diagnostic morphological/typological traits of the find— its material and technical details, fine carving and polishing, and massive dimensions (originally weighing approximately 250 kg); (3) the stunning similarities with the throne of Knossos in terms of shape, size, and proportions; (4) the analysis of impact traces and breaks; (5) the comparative study of archaeological and iconographical comparanda from the Aegean, Egypt, Anatolia and the Near East; and (6) the examination of ancient literary sources (Linear B and Homeric epics) indicate conclusively that this is a fragment of the stone seat of the monumental royal throne of the palace at Mycenae. 

More specifically, the type and shape of the low, flat and wide ledge, which slopes toward the central depression and forms rounded corners (identical with that of the throne of Knossos and other Minoan stone seats), the linear traces of the contact surface of the missing backrest slab (still clearly visible on the upper surface of the rear ledge), the shallow central depression (only 3cm deep – just 0.5cm shallower than that of the throne of Knossos), and the slight sloping of the central depression that deepens towards the rear side (again, identical with that of the throne of Knossos) are diagnostic and indisputable traits of a seat (thus, eliminating all other alternative interpretations of a “basin”, altar, offering table, or mortar). 

Furthermore, the use of local limestone conglomerate for the throne would have created the illusion of the hill’s natural bedrock rising within the throne room at Mycenae (echoed by an unhewn bedrock projection in the inner sanctum of Temple Gamma in the Cult Center of Mycenae), thus conveying strong semiological symbolisms of autochthony, antiquity, monumentality, permanence and stability. Three blocks of green serpentine decorated with a relief running spiral that were found in various locations at Mycenae have already been published as possibly belonging to the decorated base of the throne of Mycenae, just like the decorated throne base found at the palace of neighboring Tiryns. Imported conglomerate was selectively used for palatial buildings, wall gates (e.g. Lion Gate), and facades of royal tholos tombs at Mycenae, Tiryns, and Knossos; furthermore, the same combination of conglomerate with green marble or serpentine was used for the decorated façade of the “Atreus Treasury,” the most monumental royal tholos tomb at Mycenae, which was contemporary with the Lion Gate and the last phase of the palace and the royal throne (1250-1200 BC). The choice and combination of materials, therefore, as well as the high quality of fine carving and polishing are clearly of palatial character and reinforce the identification of the royal throne.

The Mycenae throne also presents striking similarities with the Knossos throne and the Tiryns throne base in terms of dimensions and proportions. The Mycenae throne (50cm X 70cm) is more monumental than its Knossian parallel (32.2cm X 45.1cm), but their length-to-width ratio is identical (0.71). The original length of the central depression of the Mycenae throne, estimated at 44.8cm, is longer than that its Knossian counterpart, but quite compatible with the average length of the femurs of the adult skeletons in the shaft graves of Grave Circle A, thus indicating that the Mycenae throne was made for a larger body type, which is in accordance with the comparative anthropometric studies on Minoans and Mycenaeans. The maximum depth of the central seat depression that deepens towards the backrest in both thrones, is almost identical for the Mycenae (3cm) and the Knossos throne (3.5cm), while the thickness of the backrest takes up 63-65% of the width of the backrest in both thrones. Finally, the length-to-width ratio of the base of the Mycenae throne and the Tiryns throne is identical (1.32).

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 Graphic representation of the royal throne. Courtesy Mycenaean Foundation

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 Graphic representation of the royal throne within the context of the royal throne room. Courtesy Mycenaean Foundation

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At Mycenae, the geophysical survey (2003-2016) and systematic excavation (2007-2013) of the Lower Town are conducted by Professor Christofilis Maggidis of Dickinson College USA, President of the Mycenaean Foundation, under the auspices of the Athens Archaeological Society and with the generous support of Dickinson College, the INSTAP, and the Mycenaean Foundation. 

The archaeological investigation of the site has revealed houses, storerooms, workshops, roads and graves of a large settlement, which was protected on its south side by a thick fortification wall with two gates. The archaeological excavation of the Lower Town at Mycenae is shedding new light on the everyday life of the Mycenaeans, the dynamics between palace and town, the human impact and systematic transformation of the ancient environment, and the historical, socio-political, economic, and natural parameters that led to the decline and fall of the Mycenaean world.  For the first time since the commencement of excavations at Mycenae in the 19th century, the archaeological investigation of the Lower Town has established the existence of a large, organized settlement around the citadel and has documented cultural continuity from the Bronze into the Iron Age at the site with the discovery of successive, superimposed ruins dating to the Mycenaean, Protogeometric, Geometric, and Archaic period (13th – 6th cent. BC).

The scientific importance of the find and its semiological weight as a symbol connected with myth, epic poetry, and ancient literary tradition are undeniably immense. This is one of the most important and emblematic finds of the Mycenaean age. Therefore, its full scientific publication (forthcoming in 2017) is of the utmost importance, while the necessity to fully explore, survey, and excavate a large section of the Chavos ravine is an urgent priority in order to complete the virtual 3-D and actual reconstruction of the royal throne of Mycenae, the so-called “throne of Agamemnon,” the last legendary king of Mycenae in the ‘heroic’ age.

Source: Adapted and edited from the subject press release of the Mycenaean Foundation. 

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 This richly illustrated issue includes the following stories: Recent findings shedding new light on the whereabouts of the remains of Philip of Macedon, father of Alexander the Great; how an archaeologist-sculptor is bringing bones of the dead back to life; archaeologists uncovering town life at the dawn of civilization; an exclusive interview with internationally acclaimed archaeologist James M. Adovasio about what makes the Meadowcroft Rockshelter prominent in the ongoing search for the first Americans; what archaeologists are finding at the site of the ancient city of Gath, the home town of the biblical Philistine giant, Goliath; and how scientists are redrawing the picture of human evolution in Europe.  Find it on Amazon.com.

 

 

  

 

 

 

 

 

Origins of ancient high-altitude Himalayans

The genetic makeup of high-altitude Himalayan populations has remained stable for millennia despite multiple cultural transitions, according to a study*. The Himalayan mountain range and the Tibetan plateau were among the last places colonized by prehistoric humans because of the unique challenges associated with living at high altitudes. However, conflicting cultural, linguistic, genetic, and archaeological evidence from modern-day populations has left the origins of the earliest Himalayan inhabitants unclear. Christina Warinner and colleagues sequenced the nuclear and mitochondrial genomes of eight high-altitude Nepalese individuals dating to three distinct cultural periods spanning 3,150–1,250 years ago. The authors compared these ancient DNA sequences to genetic data of diverse modern humans, including four Sherpa and two Tibetans from Nepal. All eight prehistoric individuals across the three time periods were most closely related to contemporary high-altitude East Asian populations, namely the Sherpa and Tibetans. Moreover, both prehistoric individuals and contemporary Tibetan populations shared beneficial mutations in two genes, EGLN1 and EPAS1, which are implicated in adaptation to low-oxygen conditions of high altitudes. Taken together, the findings demonstrate that the genetic makeup of high-altitude Himalayan populations has remained remarkably stable for millennia. According to the authors, the diverse material culture of prehistoric Himalayan populations might be the result of acculturation or cultural diffusion rather than large-scale gene flow or population replacement from outside East Asia.

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 Sequencing of prehistoric dental samples revealed origins of high-altitude Himalayans. Image courtesy of Christina Warinner, University of Oklahoma.

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Source: News release of the Proceedings of the National Academy of Sciences

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*“Long-term genetic stability and a high-altitude East Asian origin for the peoples of the high valleys of the Himalayan arc,” by Choongwon Jeong et al.

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 This richly illustrated issue includes the following stories: Recent findings shedding new light on the whereabouts of the remains of Philip of Macedon, father of Alexander the Great; how an archaeologist-sculptor is bringing bones of the dead back to life; archaeologists uncovering town life at the dawn of civilization; an exclusive interview with internationally acclaimed archaeologist James M. Adovasio about what makes the Meadowcroft Rockshelter prominent in the ongoing search for the first Americans; what archaeologists are finding at the site of the ancient city of Gath, the home town of the biblical Philistine giant, Goliath; and how scientists are redrawing the picture of human evolution in Europe.  Find it on Amazon.com.

 

 

  

 

 

 

 

 

Ancient DNA shows perfect storm felled Ice Age giants

UNIVERSITY OF ADELAIDE—Giant Ice Age species including elephant-sized sloths and powerful sabre-toothed cats that once roamed the windswept plains of Patagonia, southern South America, were finally felled by a perfect storm of a rapidly warming climate and humans, a new study has shown.

Research led by the Australian Centre for Ancient DNA (ACAD) at the University of Adelaide, published today in Science Advances, has revealed that it was only when the climate warmed, long after humans first arrived in Patagonia, did the megafauna suddenly die off around 12,300 years ago.

The timing and cause of rapid extinctions of the megafauna has remained a mystery for centuries.

“Patagonia turns out to be the Rosetta Stone – it shows that human colonisation didn’t immediately result in extinctions, but only as long as it stayed cold,” says study leader Professor Alan Cooper, ACAD Director. “Instead, more than 1000 years of human occupation passed before a rapid warming event occurred, and then the megafauna were extinct within a hundred years.”

The researchers, including from the University of Colorado Boulder, University of New South Wales and University of Magallanes in Patagonia, studied ancient DNA extracted from radiocarbon-dated bones and teeth found in caves across Patagonia, and Tierra del Fuego, to trace the genetic history of the populations. Species such as the South American horse, giant jaguar and sabre-toothed cat, and the enormous one-tonne short-faced bear (the largest land-based mammalian carnivore) were found widely across Patagonia, but seemed to disappear shortly after humans arrived.

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 Partial jaw of a large, extinct jaguar discovered in a cave in the Ultima Esperanza region of Patagonia. Credit: Fabiana Martin/CEHA

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The pattern of rapid human colonisation through the Americas, coinciding with contrasting temperature trends in each continent, allowed the researchers to disentangle the relative impact of human arrival and climate change.

“The America’s are unique in that humans moved through two continents, from Alaska to Patagonia, in just 1500 years,” says Professor Chris Turney, from the University of New South Wales. “As they did so, they passed through distinctly different climate states – warm in the north, and cold in the south. As a result, we can contrast human impacts under the different climatic conditions.”

The only large species to survive were the ancestors of today’s llama and alpaca – the guanaco and vicuna — and even these species almost went extinct.

“The ancient genetic data show that only the late arrival in Patagonia of a population of guanacos from the north saved the species, all other populations became extinct,” says lead author Dr Jessica Metcalf, from the University of Colorado Boulder.

“In 1936 Fell’s cave, a small rock shelter in Patagonia, was the first site in the world to show that humans had hunted Ice Age megafauna. So it seems appropriate that we’re now using the bones from the area to reveal the key role of climate warming, and humans, in the megafaunal extinctions,” says Dr Fabiana Martin, at the University of Magallanes.

Source: University of Adelaide news release

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 This richly illustrated issue includes the following stories: Recent findings shedding new light on the whereabouts of the remains of Philip of Macedon, father of Alexander the Great; how an archaeologist-sculptor is bringing bones of the dead back to life; archaeologists uncovering town life at the dawn of civilization; an exclusive interview with internationally acclaimed archaeologist James M. Adovasio about what makes the Meadowcroft Rockshelter prominent in the ongoing search for the first Americans; what archaeologists are finding at the site of the ancient city of Gath, the home town of the biblical Philistine giant, Goliath; and how scientists are redrawing the picture of human evolution in Europe.  Find it on Amazon.com.

 

 

  

 

 

 

 

 

Popular Archaeology Magazine co-hosts special group tour of Holy Land sites

For the first time, Popular Archaeology Magazine will be actively engaged in co-hosting a group to tour a number of archaeological sites in what has traditionally long been known to many as the ‘Holy Land’. The region, as most people know, is rich with sites that hold historical, cultural, and religious value to people of three major world faiths. Since its inception, the online magazine has published numerous articles as major feature articles as well as brief news stories about the archaeological discoveries being made in the region in recent years.

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“But reading about it really is nothing like actually being there and seeing these places in person,” says magazine editor Dan McLerran. “The real feel of a place — the air, the sounds, the smell, the feel of ancient stones at your touch, the visual experience that is quite different than the pictures — there is no adequate substitute.”

In addition to his two-week participation in an excavation at the ancient site of Bethsaida in 1998, McLerran recently embarked on a one-week tour of a number of important archaeological sites in Jerusalem and in surrounding areas, as far north as the site of Banias near the Syrian border to as far south as the site of ancient Tamar in the desert south of the Dead Sea.  

“Along with just being there,” says McLerran, “the sites really came alive when a very special ‘celebrity’ expert guide related the history, story and meaning behind them.”

In that trip, McLerran, along with a group of others, traveled with Dr. James Tabor, a world-renowned scholar on Second Temple period Judaism and early Christianity. Tabor is known not only for his scholarship but also for his affiliation with recent controversial discoveries connected to Jesus of Nazareth. His views or interpretations of the Jesus movement and certain recently discovered artifacts have drawn fire from other scholars who interpret the finds differently. But he has also amassed a large following of individuals and some scholars who subscribe to many of his views. 

“The controversy and the outstanding questions about many of these sites and artifacts make them all the more interesting to me,” says McLerran. “So in addition to the traditional experience and feeling of actually being in these places, I got a perspective-broadening experience — the stimulation of knowing there is something more than the long-standing traditional way of seeing these things.”   

The group, led by Ross Nichols, that McLerran will help to host will be visiting Jerusalem and the surrounding areas beginning March 3, 2017. Among the group leaders will be Tabor himself, who will take the group to key sites in Jerusalem, provide lectures, and answer questions. 

“I’m hoping this will be a rich educational and eye-opening experience for everyone, because that is what it is designed to accomplish. Everyone should walk away with not only a once-in-a-lifetime experience, but also with an endowment of deeper knowledge and appreciation for the history, events, people, and places that have made this part of the world a magnet for scholars and archaeology and history buffs alike — as well as for those who feel a deep religious or emotional connection to this region.”

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 Above: A tomb on the Mount of Olives. Dr. Tabor suggests that the site of the crucifixion and the temporary “new” tomb in which Jesus was laid was more likely located on the Mount of Olives. This is an example of one of the sites the group may be visiting. 

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 A view of the site where Dr. Tabor suggests Jesus stood in judgment before Pontius Pilate. It is one of the sites that will be visited on the tour.

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 The ancient remains of Tamar, an Israelite fortress during the Iron Age and a Roman fortress during the Roman period. This is one of the many sites that will be visited on the tour.

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 Dr. Tabor stands before the Herodian stonework remains of the building that tradition holds was the site of the “Last Supper” and, according to Tabor, served as the Jerusalem ‘headquarters’ of the early Christian movement before the destruction in 70 C.E. This is one of the many sites that will be visited on the tour. Photo by Victoria Brogdon

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Included, although optional, will be the opportunity to stay for a few days inside the walls of Jerusalem’s Old City for a more up-close-and-personal experience with the ancient ambience of the city.  

More information about participation in this special tour can be found here

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700-year-old West African soil technique could help mitigate climate change

UNIVERSITY OF SUSSEX—A farming technique practised for centuries by villagers in West Africa, which converts nutrient-poor rainforest soil into fertile farmland, could be the answer to mitigating climate change and revolutionising farming across Africa.

A global study, led by the University of Sussex, which included anthropologists and soil scientists from Cornell, Accra, and Aarhus Universities and the Institute of Development Studies, has for the first-time identified and analysed rich fertile soils found in Liberia and Ghana.

They discovered that the ancient West African method of adding charcoal and kitchen waste to highly weathered, nutrient poor tropical soils can transform the land into enduringly fertile, carbon-rich black soils which the researchers dub ‘African Dark Earths’.

From analysing 150 sites in northwest Liberia and 27 sites in Ghana researchers found that these highly fertile soils contain 200-300 percent more organic carbon than other soils and are capable of supporting far more intensive farming.

Professor James Fairhead, from the University of Sussex, who initiated the study, said: “Mimicking this ancient method has the potential to transform the lives of thousands of people living in some of the most poverty and hunger stricken regions in Africa.

“More work needs to be done but this simple, effective farming practice could be an answer to major global challenges such as developing ‘climate smart’ agricultural systems which can feed growing populations and adapt to climate change.”

Similar soils created by Amazonian people in pre-Columbian eras have recently been discovered in South America – but the techniques people used to create these soils are unknown. Moreover, the activities which led to the creation of these anthropogenic soils were largely disrupted after the European conquest.

Encouragingly researchers in the West Africa study were able to live within communities as they created their fertile soils. This enabled them to learn the techniques used by the women from the indigenous communities who disposed of ash, bones and other organic waste to create the African Dark Earths.

Dr Dawit Solomon, the lead author from Cornell University, said: “What is most surprising is that in both Africa and in Amazonia, these two isolated indigenous communities living far apart in distance and time were able to achieve something that the modern-day agricultural management practices could not achieve until now.

“The discovery of this indigenous climate smart soil-management practice is extremely timely. This valuable strategy to improve soil fertility while also contributing to climate-change mitigation and adaptation in Africa could become an important component of the global climate-smart agricultural management strategy to achieve food security.”

The study, funded by the Economic and Social Research Council, entitled “Indigenous African soil enrichment as a climate-smart sustainable agriculture alternative”, has been published in the journal Frontiers in Ecology and Environment.

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 Ghana farmers in the field of a demonstration farm. Trees for the Future, Wikimedia Commons

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Source: University of Sussex news release

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 This richly illustrated issue includes the following stories: Recent findings shedding new light on the whereabouts of the remains of Philip of Macedon, father of Alexander the Great; how an archaeologist-sculptor is bringing bones of the dead back to life; archaeologists uncovering town life at the dawn of civilization; an exclusive interview with internationally acclaimed archaeologist James M. Adovasio about what makes the Meadowcroft Rockshelter prominent in the ongoing search for the first Americans; what archaeologists are finding at the site of the ancient city of Gath, the home town of the biblical Philistine giant, Goliath; and how scientists are redrawing the picture of human evolution in Europe.  Find it on Amazon.com.