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Leonardo da Vinci’s DNA

HUMAN EVOLUTION—A team of eminent specialists from a variety of academic disciplines has coalesced around a goal of creating new insight into the life and genius of Leonardo da Vinci by means of authoritative new research and modern detective technologies, including DNA science.

The Leonardo Project is in pursuit of several possible physical connections to Leonardo, beaming radar, for example, at an ancient Italian church floor to help corroborate extensive research to pinpoint the likely location of the tomb of his father and other relatives. A collaborating scholar also recently announced the successful tracing of several likely DNA relatives of Leonardo living today in Italy.

If granted the necessary approvals, the Project will compare DNA from Leonardo’s relatives past and present with physical remnants—hair, bones, fingerprints and skin cells—associated with the Renaissance figure whose life marked the rebirth of Western civilization.

The Project’s objectives, motives, methods, and work to date are detailed in a special issue of the journal Human Evolution, published coincident with a meeting of the group hosted in Florence this week under the patronage of Eugenio Giani, President of the Tuscan Regional Council (Consiglio Regionale della Toscana).

Born in Vinci, Italy, Leonardo died in 1519, age 67, and was buried in Amboise, southwest of Paris. His creative imagination foresaw and described innovations hundreds of years before their invention, such as the helicopter and armored tank. His artistic legacy includes the iconic Mona Lisa and The Last Supper.

The idea behind the Project, founded in 2014, has inspired and united anthropologists, art historians, genealogists, microbiologists, and other experts from leading universities and institutes in France, Italy, Spain, Canada and the USA, including specialists from the J. Craig Venter Institute of California, which pioneered the sequencing of the human genome.

The work underway resembles in complexity recent projects such as the successful search for the tomb of historic author Miguel de Cervantes and, in March 2015, the identification of England’s King Richard III from remains exhumed from beneath a UK parking lot, fittingly re-interred 500 years after his death.

Like Richard, Leonardo was born in 1452, and was buried in a setting that underwent changes in subsequent years such that the exact location of the grave was lost.

If DNA and other analyses yield a definitive identification, conventional and computerized techniques might reconstruct the face of Leonardo from models of the skull.”

In addition to Leonardo’s physical appearance, information potentially revealed from the work includes his ancestry and additional insight into his diet, state of health, personal habits, and places of residence.

Beyond those questions, and the verification of Leonardo’s “presumed remains” in the chapel of Saint-Hubert at the Château d’Amboise, the Project aims to develop a genetic profile extensive enough to understand better his abilities and visual acuity, which could provide insights into other individuals with remarkable qualities.

It may also make a lasting contribution to the art world, within which forgery is a multi-billion dollar industry, by advancing a technique for extracting and sequencing DNA from other centuries-old works of art, and associated methods of attribution.

Says Jesse Ausubel, Vice Chairman of the Richard Lounsbery Foundation, sponsor of the Project’s meetings in 2015 and 2016: “I think everyone in the group believes that Leonardo, who devoted himself to advancing art and science, who delighted in puzzles, and whose diverse talents and insights continue to enrich society five centuries after his passing, would welcome the initiative of this team—indeed would likely wish to lead it were he alive today.”

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vitruvianman

 “Vitruvian Man”, by Leonardo da Vinci. This work done by the artist is used to illustrate the cover of the special issue of Human Evolution that features the Leonardo Project. Wikimedia Commons

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Leonardo’s fingerprints

In the journal, group members underline the highly conservative, precautionary approach required at every phase of the Project, which they aim to conclude in 2019 to mark the 500th anniversary of Leonardo’s death.

For example, one objective is to verify whether fingerprints on Leonardo’s paintings, drawings, and notebooks can yield DNA consistent with that extracted from identified remains.

Early last year, Project collaborators from the International Institute for Humankind Studies in Florence opened discussions with the laboratory in that city where Leonardo’s Adoration of the Magi has been undergoing restoration for nearly two years, to explore the possibility of analyzing dust from the painting for possible DNA traces. A crucial question is whether traces of DNA remain or whether restoration measures and the passage of time have obliterated all evidence of Leonardo’s touch.

In preparation for such analysis, a team from the J. Craig Venter Institute and the University of Florence is examining privately owned paintings believed to be of comparable age to develop and calibrate techniques for DNA extraction and analysis. At this year’s meeting in Florence, the researchers also described a pioneering effort to analyze the microbiome of a painting thought to be about five centuries old.

If human DNA can one day be obtained from Leonardo’s work and sequenced, the genetic material could then be compared with genetic information from skeletal or other remains that may be exhumed in the future.

Says Eugenio Giani, President of the Regional Council of Tuscany: “The fact that a team of eminent scholars from different academic disciplines and parts of the world has united with the common objective of furthering investigation into one of the greatest geniuses is positive and very important.”

“As President of the Tuscan Regional Council, I am pleased to host in our headquarters a meeting that shows key aspects our current state of knowledge of Leonardo da Vinci. My hope, as a Florentine and Tuscan, is that all this will help outline a portrait of Leonardo as faithful as possible to reality, bringing out the true bond that he had with Florence, starting from the properties of his family in the city. Scientifically, the chance to create, through new research and technology, a new vision of the life of Leonardo starting from a study of DNA is very important.”

Compiled by Project collaborator Claire Stypulkowski, the collection of five journal articles trace the path Leonardo took from his Italian birthplace to his final days serving the King of France. They outline the efforts to date, detailing the history and evidence regarding Leonardo’s life and his remains in Amboise, the research and high-tech investigation of his father’s tomb in Florence, and the tracing of family descendants.

Says Brunetto Chiarelli of the International Institute for Humankind Studies and editor of Human Evolution: “We are proud to share with the public the details of this exciting endeavor.”

And he underlined this message from the Project’s introductory paper: “The search for Leonardo’s remains at Amboise Castle, for the remains or traces of his family members in Florence, Vinci, and Milan, and for traces of his DNA in his works is fraught with difficulty.”

“Matching Leonardo’s DNA to that of his family presents puzzles that are minutely specific to their history and circumstances, but the tools the investigators use are generic and broadly applicable. We stand to gain not only greater historical knowledge of Leonardo but possibly a reconstruction of his genetic profile, which could provide insights into other individuals with remarkable qualities.”

“The last Plantagenet King of England and the author who gave us Don Quixote are two whose places in history are somewhat better documented now through recent anthropological study. Is Leonardo the next?”

Source: Human Evolution press release. The Leonardo Project

Organizations participating in the Leonardo Project include:

  • The Institut de Paléontologie Humaine, Paris
  • The International Institute for Humankind Studies, Florence
  • The Laboratory of Molecular Anthropology and Paleogenetics, Biology Department, University of Florence
  • Museo Ideale Leonardo da Vinci, in Vinci, Italy
  • J. Craig Venter Institute, La Jolla, California
  • Laboratory of Genetic Identification, University of Granada, Spain
  • The Rockefeller University, New York City

 Initial support comes from the Richard Lounsbery Foundation, Washington D.C.

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French company documents destruction of archaeological sites in Syria

Just a few days after the liberation of Palmyra, Iconem – a French company specializing in the 3D digitization of unique and vulnerable archaeological sites – visited the devastated ancient city to carry out the first 3D survey of the damage. 

As a long-term partner of the DGAM (Direction Générale des Antiquités et des Musées – the Syrian Directo- rate-General of Antiquities and Museums), the company accompanied the first group of Syrian scientists to arrive on the site on April 5, 2016. 

A SOLUTION FOR SURVEYING MINED AREAS 

The process of removing landmines from the site has not yet been completed, largely preventing ground-level photography, but Iconem’s drone-based photographic technology has provided a solution to this problem. The company applied expertise in 3D surveying and analyses to accurately determine the extent of the damage caused by the ISIS terrorists. 

FIVE HIGH-PRIORITY SITES 

In partnership with the DGAM, Iconem is currently establishing an accurate picture of the destruction affecting the temples of Bel and Baalshamin, the Monumental Arch, the Valley of Tombs and the museum; the five sites in Palmyra which have suffered the greatest damage. “The two temples and the arch have been demolished, but the majority of their component blocks are still present”, reported Iconem’s cofounder Yves Ubelmann from Syria. “They are spread across the area, but some of them are whole and have not been destroyed.” 

However, the museum has been ransacked. The building has suffered extensive damage from missiles piercing the roof, and archaeological objects have been shattered. In particular, the heads of the statues have all been systematically defaced. 

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templeofbelbernardgagnon

 The Temple of Bel as it existed in 2010, before the destruction. Bernard Gagnon, Wikimedia Commons

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SOME HOPE OF RECONSTRUCTION 

However, there is hope that restoration may be possible: “The fragments of these objects have not been removed or sold; they have simply been abandoned where they lie”, Yves Ubelmann continued. “This means that there is some hope of reconstructing them.” 

Iconem will be closely involved in the restoration works of the DGAM. The company’s highly accurate surveys will enable it to produce 3D models of the site that scientists from all over the world will be able to consult in order to analyze the damage and envisage possible restorations. For example, Iconem has already produced initial 3D models of the Citadel of Palmyra and the Temple of Bel (visuals below) which show the damage the buildings have suffered, and which can be viewed on the web platform sketchfab

The Iconem/DGAM partnership is part of the “Syrian Heritage” project, a long-term program to document all of Syria’s threatened heritage with a view to preserving the memory of these sites. 3D models of three Syrian archaeological sites have been produced using the technique known as photogrammetry and are already freely accessible on the websites of Iconem and the DGAM. 

In addition to the 3D digitization process currently under way in Syria, Iconem’s ambition is to preserve the memory of archaeological sites from all over the world in order to transmit them to future generations via a dedicated online platform available to the general public. 

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Palmyra Citadel Comparison by Iconem on Sketchfab

The Palmyra castle or Fakhr-al-Din al-Ma’ani Castle was built by the Mamluks in the XIIIth century on a hill overlooking the antique city of Palmyra. Since 1980, the castle and Palmyra are both inscribed on UNESCO’s World Heritage List.

In May 2015, the castle was taken by ISIS troops because of its strong fortification and strategic location. During the Palmyra offensive in march 2016, the Syrian government’s army succeeded in retaking the city but the castle was unfortunately damaged by retreating ISIS fighters. The stairway leading to the entrance is now completely destroyed, as well as some of the eastern towers. The Syrian Director of the DGAM, Maamoun Abdelkarim, has declared that the castle will be restored.

In partnership with the DGAM, ICONEM contributes to the castle’s restoration by carrying out 3D models representing the castle before and after the conflict, which will be given to archeologists and restorers.

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Temple of Bel by Iconem on Sketchfab

In partnership with the DGAM, the ICONEM’s team was the first one to be in Palmyra since Daesh’s departure. A new phase of the major project, Syrian Heritage, this mission afforded the opportunity to provide a clear picture of the damages suffered by the “pearl of the desert”, and more specifically by the Temple of Bel, as it has been left behind by Daesh fighters, using photogrammetry.

The digitalized 3D model allows us to observe the existence of stone blocks remaining almost intact, meaning that there might be some hope for a partial reconstruction. Some other blocks, however, have been dynamited.

ICONEM’s support in Palmyra has been essential to documenting the appearance and state of the site immediately after it’s liberation, which is going to be helpful to the scientific community.

Dedicated in 32 CE and consecrated to the protective divinity of Palmyra, the Mesopotamian god Bel, the Temple of Bel was, before its destruction, one of the best preserved ancient temples of Syria.

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Source: Adapted and edited from the subject Iconem pess releases. 

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The French start-up company Iconem was created in 2013 by Yves Ubelmann, an architect specializing in archaeology, and Philippe Barthélémy, an airplane and helicopter pilot. The company is now a world leader in scanning unique archaeological sites and employs nine people – architects, engineers and graphic artists – who specialize in 3D production.

The company has made a name for itself by taking on unprecedented technological challenges, including the complete modelling of Pompeii as well as scanning sites in Syria, Afghanistan, Iraq and Haiti. All of these plans will soon be available to consult online on a special platform which constitutes a unique virtual digital encyclopaedia. 

Using the latest technologies and procedures, drone photography and photogrammetry, Iconem works to preserve unique archaeological heritage sites from around the world, with the aim of keeping their memory alive for future generations. 

See more about www.iconem.com.

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New interpretation of the Rök runestone inscription changes view of Viking Age

UNIVERSITY OF GOTHENBURG—The Rök Runestone, erected in the late 800s in the Swedish province of Östergötland, is the world’s most well-known runestone. Its long inscription has seemed impossible to understand, despite the fact that it is relatively easy to read. A new interpretation of the inscription has now been presented – an interpretation that breaks completely with a century-old interpretative tradition. What has previously been understood as references to heroic feats, kings and wars in fact seems to refer to the monument itself.

“The inscription on the Rök Runestone is not as hard to understand as previously thought,” says Per Holmberg, associate professor of Scandinavian languages at the University of Gothenburg. “The riddles on the front of the stone have to do with the daylight that we need to be able to read the runes, and on the back are riddles that probably have to do with the carving of the runes and the runic alphabet, the so called futhark.”

Previous research has treated the Rök Runestone as a unique runestone that gives accounts of long forgotten acts of heroism. This understanding has sparked speculations about how Varin, who made the inscriptions on the stone, was related to Gothic kings. In his research, Holmberg shows that the Rök Runestone can be understood as more similar to other runestones from the Viking Age. In most cases, runestone inscriptions say something about themselves.

“Already 10 years ago, the linguist Professor Bo Ralph proposed that the old idea that the Rök Runestone mentions the Gothic emperor Theodoric is based on a minor reading error and a major portion of nationalistic wishful thinking. What has been missing is an interpretation of the whole inscription that is unaffected by such fantasies.”

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 Per Holmberg, researcher at University of Gothenburg with the Rök Runestone. Credit: University of Gothenburg

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Holmberg’s study is based on social semiotics, a theory about how language is a potential for realizing meaning in different types of texts and contexts.

“Without a modern text theory, it would not have been possible to explore which meanings are the most important for runestones. Nor would it have been possible to test the hypothesis that the Rök Runestone expresses similar meanings as other runestones, despite the fact that its inscription is unusually long.”

One feature of the Rök Runestone that researchers have struggled with is that its inscription begins by listing in numerical order what it wants the reader to guess (‘Secondly, say who…’), but then seems to skip all the way to ‘twelfth, …’. Previous research has assumed there was an oral version of the message that included the missing nine riddles. Holmberg reaches a surprising conclusion:

“If you let the inscription lead you step by step around the stone, the twelfth actually appears as the twelfth thing the reader is supposed to consider. It’s not the inscription that skips over something. It’s the researchers that have taken a wrong way through the inscription, in order to make it be about heroic deeds.”

For over a century, the traditional interpretation has contributed to our understanding of the Viking Age. With the new interpretation, the Rök Runestone does not carry a message of honour and vengeance. Instead the message concerns how the technology of writing gives us an opportunity to commemorate those who have passed away.

Source: University of Gothenburg press release

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The study is presented in the article, Answers to the Rök runestone riddles: A study of meaning-making and spatiality, Futhark. International Journal of Runic Studies 6 (2015, publ. 2016). 65-106. The article is also available at: http://urn.kb.se/res?urnolve=urn:nbn:se:uu:diva-278891

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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.

 

 

  

 

 

 

 

 

Scientists unravel genetic history of Ice Age Europe

HOWARD HUGHES MEDICAL INSTITUTE—Analyses of ancient DNA from prehistoric humans paint a picture of dramatic population change in Europe from 45,000 to 7,000 years ago, according to a new study led by Howard Hughes Medical Institute Investigator David Reich at Harvard Medical School.

The new genetic data, published May 2, 2016 in Nature, reveal two big changes in prehistoric human populations that are closely linked to the end of the last Ice Age around 19,000 years ago. As the ice sheet retreated, Europe was repopulated by prehistoric humans from southwest Europe (e.g., Spain). Then, in a second event about 14,000 years ago, populations from the southeast (e.g., Turkey, Greece) spread into Europe, displacing the first group of humans.

Archeological studies have shown that modern humans swept into Europe about 45,000 years ago and caused the demise of the Neanderthals, indicated by the disappearance of Neanderthal tools in the archaeological record, explained Reich. The researchers also knew that during the Ice Age—a long period of time that ended about 12,000 years ago, with its peak intensity between 25,000 and 19,000 years ago—glaciers covered Scandinavia and northern Europe all the way to northern France. As the ice sheets retreated beginning 19,000 years ago, prehistoric humans spread back into northern Europe.

But prior to this study, there were only four samples of prehistoric European modern humans 45,000 to 7,000 years old for which genomic data were available, which made it all but impossible to understand how human populations migrated or evolved during this period. “Trying to represent this vast period of European history with just four samples is like trying to summarize a movie with four still images. With 51 samples, everything changes; we can follow the narrative arc; we get a vivid sense of the dynamic changes over time,” said Reich. “And what we see is a population history that is no less complicated than that in the last 7,000 years, with multiple episodes of population replacement and immigration on a vast and dramatic scale, at a time when the climate was changing dramatically.”

The genetic data show that, beginning 37,000 years ago, all Europeans come from a single founding population that persisted through the Ice Age, said Reich. The founding population has some deep branches in different parts of Europe, one of which is represented by a specimen from Belgium. This branch seems to have been displaced in most parts of Europe 33,000 years ago, but around 19,000 years ago, a population related to it re-expanded across Europe, Reich explained. Based on the earliest sample in which this ancestry is observed, it is plausible that this population expanded from the southwest, present-day Spain, after the Ice Age peaked.

The second event that the researchers detected happened 14,000 years ago. “We see a new population turnover in Europe, and this time it seems to be from the east, not the west,” said Reich. “We see very different genetics spreading across Europe that displaces the people from the southwest who were there before. These people persisted for many thousands of years until the arrival of farming.”

The researchers also detected some mixture with Neanderthals, around 45,000 years ago, as modern humans spread across Europe. The prehistoric human populations contained three to six percent of Neanderthal DNA, but today most humans only have about two percent. “Neanderthal DNA is slightly toxic to modern humans,” explained Reich, and this study provides evidence that natural selection is removing Neanderthal ancestry.

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threeskulls

Three ~31,000-year-old skulls from Dolni Vestonice in the Czech Republic. For the next five thousand years, all samples analyzed in this study—whether from Belgium, the Czech Republic, Austria, or Italy—are closely related, reflecting a population expansion associated with the Gravettian archaeological culture. Credit: Martin Frouz and Ji?í Svoboda

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How the scientists did it

The study was an equal collaboration of David Reich’s laboratory with the laboratories of Svante Pääbo and Johannes Krause, which worked together to extract and analyze the DNA from these ancient bones. Ancient specimens are frequently contaminated with microbial DNA, as well as DNA from archaeologists or lab technicians who have handled the specimens.

To get around these problems, the research team used a technique called in-solution hybrid capture enrichment. The team used about 1.2 million 52-base-pair DNA sequences corresponding to positions in the human genome that they were interested in as bait to target specific segments of DNA. After they washed the ancient DNA over the 1.2 million probe sequences, the researchers sequenced the ancient DNA that was captured by the probes.

To eliminate contamination that may have been introduced from handling the specimens, the researchers restricted analysis of many of the samples to sequences that had characteristic lesions of ancient DNA—a cytosine to uracil error at the beginning of the sequence. Modern DNA typically does not have these errors, so contamination can be avoided by restricting the analysis to the sequences that do have them, said Reich.

“The ability to obtain genome-scale data from ancient bones is a new technology that’s only been around for the last five or six years,” Reich emphasized. “It’s a new scientific instrument that makes it possible to look at things that have not been looked at before.”

Source: Press release of the Howard Hughes Medical Institute

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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.

 

 

  

 

 

 

 

 

Molecular clock for estimating ages of ancient genomes

Accurate estimation of the ages of ancient human specimens is crucial for interpreting ancient DNA analyses. Though radiocarbon dating, a standard tool for estimating the ages of specimens, is remarkably precise, it can be biased by contamination. Priya Moorjani and colleagues developed a complementary approach for dating ancient genomes by comparing the cumulative numbers of genetic recombination events between ancient and present-day non-Africans since the time of Neanderthal introgression into their common ancestors. Most non-Africans have around 2% Neanderthal ancestry resulting from human and Neanderthal interbreeding that occurred around 50,000 years ago. Assuming an approximately constant recombination rate per generation, the amount of recombination that has occurred since the initial introduction of Neanderthal DNA can be used as a molecular clock to infer the number of missing generations between an ancient genome and present-day genomes. The authors tested their method on five ancient human specimens from North America, Europe, and Siberia with sequenced genomes and radiocarbon dates between 12,000 and 45,000 years ago and obtained age estimates that were consistent with radiocarbon dates. Using correlation between radiocarbon dates, measured in years, and Neanderthal introgression dates, measured in generations, the authors estimated the historic generation interval to be approximately 28 years per generation. According to the authors, the estimate is consistent with those for present-day West Eurasians.

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Neanderthal_DNA_extraction

Working in a clean room, researchers at the Max Planck Institute for Evolutionary Anthropology in Leipzig, Germany, took extensive precautions to avoid contaminating Neanderthal DNA samples – extracted from bones like this one – with DNA from any other source, including modern humans. NHGRI researchers are part of the international team that sequenced the genome of the Neanderthal, Homo neanderthalensis. 

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The study report* is published in the Proceedings of the National Academy of Sciences (PNAS).

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*“A genetic method for dating ancient genomes provides a direct estimate of human generation interval in the last 45,000 years,” by Priya Moorjani et al.

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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.

 

 

  

 

 

 

 

 

Return to the Cave of John the Baptist

In March, 2016, Dr. James D. Tabor of the University of North Carolina at Charlotte led a group to revisit a cave not far from Jerusalem, a site he and archaeologist Shimon Gibson began excavating more than 15 years ago. Many know it as the Suba Cave, an ancient cave some scholars hypothesize John the Baptist used to perform baptisms near Ein Karem in the Judean hills, a place that tradition holds was his home town…………. 

 

Dr. James D. Tabor, one of the world’s foremost authorities on 2nd Temple period Judaism and early Christian origins, calls it “one of the greatest archaeological discoveries of the last 25 years”. Located near the Tzuba kibbutz just west of Jerusalem in the Judean hills, an ancient cave was discovered by archaeologists in 1999. Otherwise popularly known as the Suba Cave, it is located near a vineyard within walking distance of Ein Karem, the small town or village long traditionally considered to have been the birthplace and home of John the Baptist and his family.  

It all began when Shimon Gibson, a well-known British-born Israeli archaeologist, was first contacted in 1999 about carvings or engravings discovered in a cave near Tzuba and Ein Karem. After his initial investigation of the cave, he called Tabor, by then known as a scholarly expert on John the Baptist. 

“I remember I was sitting in my office when he called,” said Tabor. “At first, I didn’t believe it.” 

Gibson suggested that the location, the drawings/engravings, and other circumstantial elements pointed to the possibility of some association with John the Baptist. Following examination of photos of the cave drawings sent by Gibson, Tabor knew there was something to this discovery beyond a simple hunch. He, along with Gibson, quickly assembled an excavation team and, very early on, unearthed something that had exceeded all expectations.

“I’ll never forget that day,” said Tabor, as he related the story of the day they really hit “pay dirt”. In the beginning, the cave, having silted up through centuries, allowed only about one meter’s worth of clearance from the roof of the cave to ‘ground level’ in order to enter. “We had to crawl on our hands and knees,” said Tabor. But on the last day of the excavation season in March of 2000, the excavators began to encounter Roman period pottery shards.  

“As we dug down we suddenly came across a meter to a meter and a half filled with clearly 1st century CE period pottery shards, and this was out of a total of 4 meters of cultural layers in the cave. So something was really going on in this cave during the early 1st century. We found evidence of thousands of clay vessels in the cave, all broken.”

Successive seasons uncovered a large, plastered cave carved out of bedrock with steps leading into a large interior pool of water. The cave extended 90 feet into the hillside bedrock. Gibson and Tabor suggest that it was a place for ritual immersion, or baptism. In the 1st century CE such a feature was normally characterized as a mikveh, a Jewish ritual bath, ancient examples of which can be found throughout Israel at a variety of archaeological sites. The Suba Cave is now considered to be the largest mikveh in Israel.  

Given the abundance and concentration of the vessels — what was determined to have been small one-handled jugs — the archaeologists concluded that they had to have been deliberately broken and deposited in a relatively short time period. 

What was happening in this place?  

Tabor and Gibson hypothesize that the pottery shards were related to a baptismal ritual conducted in the cave. Based in part on their research of 2nd century manuscripts, they suggest that baptisms at the time of Jesus and John may have followed a set process that included not only dipping, or immersion, in the water, but also the pouring of water over the head from the vessel, the anointing of the right foot (there is a foot-shaped cavity carved out of the bedrock near the steps no far from inside the cave entrance and just above the water line), and the deliberate breaking of the vessel so the vessel could no longer be used for common purposes. The thousands of 1st century jug shards uncovered in the cave were the remains of these vessels. 

Was this in fact a cave used by John to baptize people during the time of Jesus? A cave with drawings or engravings that could be interpreted as a pictographic or visual representation of John the Baptist, located very near Ein Karem, the home town of John and his family, with evidence of use as a facility for ritual immersion — all pointed to this possibility, according to the site excavators.

But it should be noted that the Suba Cave was initially created and used for a very different purpose. The plaster lining the interior walls of the cave was radiocarbon dated to the Iron Age, and more specifically, to the time of King Hezekiah of Judah. Five years of excavation and research revealed that the cave, including associated exterior features, was actually initially created and used as a clay-making facility for the manufacture of pottery. The cave was first meant to be “a water reservoir [fed by an adjacent spring, which still exists] for clay making,” says Tabor. “Pottery for the king’s house was made at Tzuba because the clay was so pure. Then it went out of use in the 2nd century BCE and silted over.” It was then re-dug and converted into a ritual immersion facility during the 1st century CE.

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A view of the village of Ein Karem. Gila Brand, Wikimedia Commons 

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 The Suba Cave entrance, looking toward it from outside the cave. Photo by Victoria Brogdon 

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 Steps leading down to the Suba Cave entrance. Photo by Daniela Ciubuc

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Looking into the Suba Cave from the interior steps, which descend into the water as is typically characteristic of an ancient mikveh. The interior of the cave is covered in plaster, which has been present since first applied by the ancients during the days of Hezekiah, King of Judah, when it was initially used as a clay-making facility for pottery-making. The water, though it appears murky, is surprisingly clean in terms of bacterial content. Photo by Daniela Ciubuc.

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historicaljesussubacavevictoriabrogden

Rough engraved dawings high on the interior wall of the cave, above the water. Note the figure of a person on the left. Site investigators have interpreted this as an individual, perhaps even John the Baptist, officiating a ritual activity, such as a baptismal rite. Photo by Victoria Brogdon

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This article is a preview excerpt from the article, In Search of the Historical Jesus, to be released as a major feature article in the Summer 2016 issue of Popular Archaeology Magazine.

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Water storage made prehistoric settlement expansion possible in Amazonia

UNIVERSITY OF GOTHENBURG—The pre-Columbian settlements in Amazonia were not limited to the vicinities of rivers and lakes. One example of this can be found in the Santarém region in Brazilian Amazonia, where most archaeological sites are situated in an upland area and are the result of an expansion of settlements in the last few centuries before the arrival of Europeans. This is concluded by a research team consisting of archaeologists from the University of Gothenburg and Brazilian colleagues.

‘Our results stand in contrast to the traditional understanding of pre-Columbian Amazonia. A common view has been that villages only existed along the rivers. However, our work shows that people eventually also populated inland areas,’ says Per Stenborg, archaeologist and director of the Swedish part of the Swedish-Brazilian project Cultivated Wilderness: Socio-economic Development and Environmental Change in Pre-Columbian Amazonia.

The project started 10 years ago and involves archaeologists and soil scientists. Road constructions and exploitation in the region have rendered archaeological rescue work even more urgent.

The remains of more than 110 human settlements have been found, and most of them were built on the so-called Belterra Plateau, situated south of the present city of Santarém. Some of the sites have been investigated in more detail.

‘We found both large natural and small man-made depressions that were used for water storage. The man-made depressions, or ponds, have been enclosed by berms consisting of a mix of compact clay soil and household waste, such as pottery sherds. We have also been able to date a lot of material, including pottery and charcoal from hearths.’

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 Contemporary water storage. Location: Bom Futuro. Credit: Per Stenborg

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Example of pottery figure typical of the pottery style (Santarém Phase pottery) that spread inland from ca. in 1300 AD. Credit: Per Stenborg

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It has long been known that people have populated areas along the rivers for thousands of years. What Stenborg and his colleagues have been able to add to this knowledge is that something happened around the fourteenth century.

‘The oldest inland settlements we have dated are from that time. There seems to have been some type of inland expansion in connection with the development of technologies for water management and agriculture.

Thus, the period A.D. 1300-1500 seems to have been characterised by major change in the prehistoric communities in this part of Amazonia, with significant population growth coupled with new types of water management and agriculture.

During the dry periods, the water supply is very limited in the inland rainforests, why water storage was necessary for permanent settlement. In addition, the soil tends to be relatively poor, yet fertile soil called terra preta, or Amazonian dark earth, has emerged near settlements. According to the archaeologists, this is another indication of the presence of a large community in the area.

‘We’ve found signs of a previously unknown magnitude of community organisation. The settlements seemed to have been part of a larger organisation. One indication of this is that the pottery we’ve found is stylistically consistent regardless of whether it is from settlements along the river or in the inland,’ says Stenborg.

The network of settlements in different environments not only gave people access to different types of natural resources, it also enabled them to farm the land for longer parts of the year. Since the river banks are flooded during the six-month rainy season, those areas are farmed during the dry season. In contrast, it was during the rainy periods that farming was possible in the inland areas.

Source: University of Gothenburg

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Hominins may have been food for carnivores 500,000 years ago

PLOS ONE—Tooth-marks on a 500,000-year-old hominin femur bone found in a Moroccan cave indicate that it was consumed by large carnivores, likely hyenas, according to a study* published April 27, 2016 in the open-access journal PLOS ONE by Camille Daujeard from the Muséum National D’Histoire Naturelle, France, and colleagues.

During the Middle Pleistocene, early humans likely competed for space and resources with large carnivores, who occupied many of the same areas. However, to date, little evidence for direct interaction between them in this period has been found. The authors of the present study examined the shaft of a femur from the skeleton of a 500,000-year-old hominin, found in the Moroccan cave “Grotte à Hominidés” cave near Casablanca, Morocco, and found evidence of consumption by large carnivores.

The authors’ examination of the bone fragment revealed various fractures and tooth marks indicative of carnivore chewing, including tooth pits as well as other scores and notches. These were clustered at the two ends of the femur, the softer parts of the bone being completely crushed. The marks were covered with sediment, suggesting that they were very old.

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toothmarks

 Tooth-marks on a 500,000-year-old hominin femur bone found in a Moroccan cave indicate that it was consumed by large carnivores, likely hyenas, according to a study published April 27, 2016 in the open-access journal PLOS ONE.  Credit: C. Daujeard 

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While the appearance of the marks indicated that they were most likely made by hyenas shortly after death, it was not possible to conclude whether the bone had been eaten as a result of predation on the hominin or had been scavenged soon after death. Nonetheless, this is the first evidence that humans were a resource for carnivores during the Middle Pleistocene in this part of Morocco, and contrasts with evidence from nearby sites that humans themselves hunted and ate carnivores. The authors suggest that depending on circumstances, hominins at this time could have both acted as hunter or scavenger, and been targeted as carrion or prey.

Camille Daujeard notes: “Although encounters and confrontations between archaic humans and large predators of this time period in North Africa must have been common, the discovery … is one of the few examples where hominin consumption by carnivores is proven.”

Source: PLOS ONE press release.

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*Daujeard C, Geraads D, Gallotti R, Lefèvre D, Mohib A, Raynal J-P, et al. (2016) Pleistocene Hominins as a Resource for Carnivores: A c. 500,000-Year-Old Human Femur Bearing Tooth-Marks in North Africa (Thomas Quarry I, Morocco). PLoS ONE 11(4): e0152284. doi:10.1371/journal.pone.0152284

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Neandertals and Upper Paleolithic Homo sapiens had different dietary strategies

PLOS ONE—When fluctuating climates in the Ice Age altered habitats, modern humans may have adapted their diets in a different way than Neandertals, according to a study published April 27, 2016 in the open-access journal PLOS ONE by Sireen El Zaatari of the University of Tübingen, Germany, and colleagues.

The Neandertal lineage survived for hundreds of thousands of years despite the severe temperature fluctuations of the Ice Age. The reasons for their decline around 40 thousand years ago remain unclear. The authors of this study investigated the possible influence of dietary strategies using the fossilized molars of 52 Neandertals and Upper Paleolithic Homo sapiens (modern humans). They analysed the type and degree of microwear on the teeth to attempt to draw conclusions about diet type and to establish a relationship with prevalent climactic conditions.

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toothwear

 This is an image of a fossilized human molar used in the study of dietary habits of Neandertals and Upper Paleolithic Homo sapiens. Credit: Sireen El Zaatari 

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They found that as the climate fluctuated and habitats altered, Neandertals may have adapted their diet to the resources that were most readily available, eating mainly meat when in open, cold steppe environments, and supplementing their diet with more plants, seeds, and nuts when in forested landscapes. Meanwhile, modern humans seemed to stick to their dietary strategy regardless of slight environmental changes and retained a relatively large proportion of plant-based foods in their diet. “To be able to do this, they may have developed tools to extract dietary resources from their environment”” says Sireen El Zaatari. The researchers concluded that Upper Paleolithic modern humans’ differing dietary strategies may have given them an advantage over the Neandertals.

The Neandertals may have maintained their opportunistic approach of eating whatever was available in their changing habitats over hundreds of thousands of years. However, modern humans seem to have invested more effort in accessing food resources and significantly changed their dietary strategies over a much shorter period of time, in conjunction with their development of tools, which may have given them an advantage over Neanderthals.

The European Neandertal and modern human individuals analysed in this study do not temporally overlap and thus would not inform us about direct dietary competition between these two groups. Nevertheless, if the behavioral differences detected in this study were already established at the time of contact between them, these differences might have contributed to the demise of the Neandertals and the survival of modern humans.

Source: PLOS ONE press release.

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*El Zaatari S, Grine FE, Ungar PS, Hublin J-J (2016) Neandertal versus Modern Human Dietary Responses to Climatic Fluctuations. PLoS ONE 11(4): e0153277. doi:10.1371/journal.pone.0153277

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Modern DNA reveals ancient male population explosions linked to migration and technology

WELLCOME TRUST SANGER INSTITUTE—The largest ever study* of global genetic variation in the human Y chromosome has uncovered the hidden history of men. Research published in Nature Genetics reveals explosions in male population numbers in five continents, occurring at times between 55 thousand and four thousand years ago.

The study, led by Dr Chris Tyler-Smith of the Wellcome Trust Sanger Institute, analysed sequence differences between the Y chromosomes of more than 1200 men from 26 populations around the world using data generated by the 1000 Genomes Project.

The work involved 42 scientists from four continents.

Dr David Poznik, from Stanford University, California, first author on the paper, said: “We identified more than 60,000 positions where one DNA letter was replaced by another in a man with modern descendants, and we discovered thousands of more complex DNA variants. These data constitute a rich and publicly available resource for further genealogical, historical and forensic studies.”

Analysing the Y chromosomes of modern men can tell us about the lives of our ancestors. The Y chromosome is only passed from father to son and so is wholly linked to male characteristics and behaviours. The team used the data to build a tree of these 1200 Y chromosomes; it shows how they are all related to one another. As expected, they all descend from a single man who lived approximately 190,000 years ago.

The most intriguing and novel finding was that some parts of the tree were more like a bush than a tree, with many branches originating at the same point.

Dr Yali Xue, lead author from the Wellcome Trust Sanger Institute, explained: “This pattern tells us that there was an explosive increase in the number of men carrying a certain type of Y chromosome, within just a few generations. We only observed this phenomenon in males, and only in a few groups of men.”

The earliest explosive increases of male numbers occurred 50,000-55,000 years ago, across Asia and Europe, and 15,000 years ago in the Americas. There were also later expansions in sub-Saharan Africa, Western Europe, South Asia and East Asia, at times between 4,000 and 8,000 years ago. The team believes the earlier population increases resulted from the first peopling by modern humans of vast continents, where plenty of resources were available.

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ydnachakazul

 Chakazul, Wikimedia Commons

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The later expansions are more enigmatic.

Dr Chris Tyler-Smith, from the Sanger Institute, added: “The best explanation is that they may have resulted from advances in technology that could be controlled by small groups of men. Wheeled transport, metal working and organised warfare are all candidate explanations that can now be investigated further.”

All of the samples and data from the 1000 Genomes Project are freely available for use by other scientists and interested investigators.

Source: Wellcome Trust Sanger Institute

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*Poznik GD et al. Punctuated bursts in human male demography inferred from 1,244 worldwide Y-chromosome sequences is published in Nature Genetics 25 April 2016 DOI: 10.1038/ng.3559

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Study of chimpanzees explores the early origins of human hand dexterity

DARTMOUTH COLLEGE—Chimpanzees use manipulative dexterity to evaluate and select figs, a vital resource when preferred foods are scarce, according to a new Dartmouth-led study just published by Interface Focus. The action resembles that of humans shopping for fruits, and the study demonstrates the foraging advantages of opposable fingers and careful manual prehension, or the act of grasping an object with precision. The findings shed new light on the ecological origins of hands with fine motor control, a trait that enabled our early human ancestors to manufacture and use stone tools. (A pdf of the study is available upon request. The paper will be available for free via open access once the embargo lifts, as the link is not currently live).

“The supreme dexterity of the human hand is unsurpassed among mammals, a fact that is often linked to early tool use,” said lead author Nathaniel J. Dominy, professor of anthropology and adjunct professor of biological sciences at Dartmouth. “A problem is that we know little about the selective pressures that favored the advanced manual skills of chimpanzees and other apes. These skills were the cognitive foundation for the origin of our extraordinary hands, a trait that made all the difference.”

For the study, Dominy and his colleagues observed the foraging behaviors of chimpanzees, black-and-white colobus monkeys, red colobus monkeys and red-tailed monkeys in Kibale National Park, Uganda. The primates depended on figs, and although ripe figs come in a range of colors, many stay green throughout development and every phase can be present on a single tree, making it difficult to discern solely by color, which figs are ripe. To determine if the green figs of Ficus sansibarica are edible, chimpanzees ascend trees and make a series of sensory assessments– they may look at the fig’s color, smell the fig, manually palpate or touch each fig (using the volar pad of the thumb and lateral side of the index finger) to assess the fruit’s elasticity and/or bite the fig to determine the stiffness of the fruit. Colobus monkeys do not have thumbs and evaluate the ripeness of figs by using their front teeth.

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 A chimpanzee in Kibale National Park, Uganda, initiates a series of sensory assessments to evaluate the edibility of figs. Sensory assessment entailed manual palpation to discern softness (elastic deformation).  Photo by Alain Houle.

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chimpanzeepic2

 A chimpanzee in Kibale National Park, Uganda, initiates a series of sensory assessments to evaluate the edibility of figs. Sensory assessment entailed incisor evaluation to discern toughness (chewability).  Photo by Alain Houle.

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The team examined the spectral, chemical and mechanical properties of figs, which included boring into individual figs to assess the elasticity of the fruit and extracting fig contents to estimate nutritional rewards such as sugar. They observed the non-selection, rejection and ingestion of individual figs, and collected specimens of figs that were: avoided; palpated and rejected; palpated, bitten and rejected; and edible for which less than 50 percent of the fruit was left. Chimpanzees also use their sense of smell to assess individual figs; however, the study was unequipped to capture olfactory volatiles. Based on the sensory data obtained, the team estimated the predictive power that sensory information may have on chimpanzees when estimating the ripeness of figs.

Palpating figs was about four times faster than detaching and then biting the fruit, suggesting that chimpanzees may have a substantial foraging advantage over birds and monkeys, which rely on visual and oral information. The study provides new insight into how chimpanzees exhibit advanced visuomotor control during the foraging process and more broadly, on the evolution of skilled forelimb movements.

Source: Dartmouth College news release.

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Royal 17th century wardrobe found in the Wadden Sea

UNIVERSITY OF AMSTERDAM—‘Rarely, if ever, has such a big discovery been made in a maritime context’, says Maarten van Bommel, Professor of Conservation Science and chair of the section Restoration and Conservation of Cultural Heritage at the UvA. The items, which were found at the wreck of a 17th-century ship in the Wadden Sea near Texel, include a very luxurious gown that has remained remarkably well preserved. This gown serves as the showpiece of the temporary exhibition ‘Garde Robe’, which has opened at the museum, Kaap Skil

The gown, which due to its rich detail is believed to have belonged to ‘high nobility, possibly even royalty’, is part of an extensive wardrobe. Among other articles, the site also yielded a cloak, stockings and silk and satin bodices decorated with large quantities of gold and silver thread. In addition to textiles, divers also found practical items like pottery from Italy, a gilded silver chalice and scents from Greece or Turkey. In addition, a number of book covers emerged from the depths that bear the coat of arms of the English Royal House of Stuart. 

International importance

Experts from the Rijksmuseum, the University of Amsterdam and the Cultural Heritage Agency of the Netherlands (RCE), consider the textiles one of Europe’s most important clothing finds ever. Their discovery, in combination with other objects, makes this one of the foremost and most appealing finds in the history of Dutch archaeology. Because in a ship everything is preserved together – as if in a time capsule – this discovery can give great insight into the life and work of those on board and the trade relations and political situation of the time.

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 One of the wardrobe items found at the site of the shipwreck. Credit Kaap Skil

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Who wore it?

Archival research revealed that the wardrobe belonged to the royal court of the English queen Henrietta Maria. In March 1642 the queen was travelling to the Netherlands on a secret mission when one of her baggage ships sunk in the Wadden Sea. This discovery was made by cultural historians Helmer Helmers from the University of Amsterdam (UvA) and Nadine Akkerman from Leiden University. It probably belonged to Jean Kerr, Countess of Roxburghe (c. 1585-1643), lady-in-waiting and confidante to Queen Henrietta Maria (1609-1669). Jean was one of two ladies-in-waiting whose clothes went down with the ship, but the style and size of the gown indicates strongly that it belonged to Kerr, the elder of the two. 

Elizabeth Stuart

Cultural historians Nadine Akkerman and Helmer Helmers are experts on the British Royal House of Stuart. Their findings are based on a letter written by Elizabeth Stuart (1596-1662), the Stuart princess who found refuge in The Hague after being exiled from the Kingdom of Bohemia. In a letter to the English diplomat Sir Thomas Roe, dated 17 March 1642, Elizabeth describes how her sister-in-law lost a baggage ship during the crossing. In addition to the clothing of two ladies-in-waiting and their maids, the queen herself lost the ‘vessels’ from her private chapel in the shipwreck.

A secret mission

The official story behind Henrietta Maria’s trip to the Dutch Republic was one of royal connections: she was  delivering her 11-year old daughter Mary to the court of William II, Prince of Orange and future stadtholder, whom the girl had married the previous year. This was only a ruse, however: her real mission was to sell the crown jewels and use the proceeds to buy weapons. These were essential for King Charles I to take on Parliament in the English Civil War. According to Akkerman and Helmers, the find at Texel represents a tangible reminder of the strong Dutch involvement in this conflict.

Winter Queen

Akkerman, assistant professor of Early Modern English Literature at Leiden University, and Helmers, assistant professor of Early Modern Dutch Literature and Culture at the UvA, were able to solve the mystery of the unknown gown owner reasonably quickly. Akkerman: ‘Once Helmer alerted me to the find, it took us about five minutes to unearth the relevant letter, as I remembered transcribing and deciphering it in 2006. We continue to find more references.’

Akkerman is the editor of the Correspondence of Elizabeth Stuart, Queen of Bohemia, while Helmers is the author of The Royalist Republic, on Anglo-Dutch relations in this period.

Unnecessary speculation

The mystery and speculation in the Dutch press surrounding the origin of the wardrobe were unnecessary. With the discovery of the family crest, the evidence quickly started pointing towards the Stuarts. Helmers: ‘It is a pity we weren’t consulted earlier – the puzzle would have been solved much earlier. The archaeological experts have primarily focused on the material side. Of course this is important, but the historical texts also tell a thrilling story.’

Shipwrecks of the Texel Roadstead

Off the coast of Texel, at Oudeschild, lie hundreds of shipwrecks, many from the Golden Age. Waiting for cargo or a favorable wind, they went down in storms and severe weather. However, their contents were well preserved under the sand. Due to the changing sea currents, the wrecks sometimes come loose, often threatening their cargo. Various organizations responsible for preserving these sites are currently investigating how best to deal with these processes. They are working together in this context with the Texel Diving Club, which called attention to this find.

Exhibition opening

The exhibition Garde Robe was officially opened on Thursday, 14 April, on behalf of all parties involved, by Jack van der Hoek, member of the Provincial Executive of North Holland. The spectacular opening ceremony was directed by Studio Aziz Bekkaoui. During the opening, well-known UvA archaeologist Prof. Jerzy Gawronski admitted that it was a huge surprise to him that the seabed around Texel is home to such treasures. Provincial Executive member Jack van der Hoek said he saw it as a great gift, which also entails a great responsibility.

Museum Kaap Skil will be showing a selection of the find to the public for a month – until Monday, 16 May 2016. After that, the objects will be transferred to Huis van Hilde (Hilde’s House), the archaeology information centre of the Province of North Holland, where the research will be conducted. The University of Amsterdam, RCE and the Rijksmuseum will be closely involved in this research. The Province of North Holland, which acquired ownership of the find, is in charge of the investigation. Eventually, the find will be exhibited in museum Kaap Skil on Texel.

Source: Adapted and edited from press releases of the University of Amsterdam.

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DNA sat nav uncovers ancient Ashkenaz and Yiddish origins

UNIVERSITY OF SHEFFIELD—The origin of Yiddish, the millennium old language of Ashkenazic Jews, is something which linguists have questioned for decades.

Now, a pioneering tool – the Geographic Population Structure (GPS) – which converts DNA data into its ancestral coordinates, has helped scientists pinpoint that the DNA of Yiddish speakers could have originated from four ancient villages in north-eastern Turkey.

The research, led by Dr Eran Elhaik from the University of Sheffield, suggests the Yiddish language was invented by Iranian and Ashkenazic Jews as they traded on the Silk Road.

The ancient villages, identified by the GPS tool, are clustered close to the crossroads of the Silk Roads and are named Iskenaz, Eskenaz, Ashanaz, and Ashkuz – names which may derive from the word “Ashkenaz.”

“Language, geography and genetics are all connected,” said Dr Eran Elhaik from the University’s Department of Animal and Plant Sciences.

“Using the GPS tool to analyse the DNA of sole Yiddish and non-Yiddish speakers, we were able to predict the possible ancestral location where Yiddish originated over 1,000 years ago – a question which linguists have debated over for many years.”

He added: “North east Turkey is the only place in the world where these place names exist – which strongly implies that Yiddish was established around the first millennium at a time when Jewish traders who were plying the Silk Road moved goods from Asia to Europe wanted to keep their monopoly on trade.

“They did this by inventing Yiddish – a secret language that very few can speak or understand other than Jews. Our findings are in agreement with an alternative theory that suggests Yiddish has Iranian, Turkish, and Slavic origins and explains why Yiddish contains 251 words for the terms ‘buy’ and ‘sell’. This is what we can expect from a language of experienced merchants.”

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Silkroutes

 Ancient silk road routes. Wikimedia Commons

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Yiddish, which incorporates German, Slavic and Hebrew, and is written in Aramaic letters, is commonly thought to be an old German dialect.

However, an alternative theory proposed by Professor Paul Wexler from the University of Tel Aviv and also an author on the study, suggests that Yiddish is a Slavic language that used to have both Slavic grammar and words but in time shed its Slavic lexicon and replaced it with common and unfamiliar German words.

The findings of the study, published today (Wednesday 20 April 2016) in Genome Biology and Evolution, led researchers to believe that towards the end of the first millennium, Ashkenazic Jews may have relocated to Khazaria before moving into Europe half a millennium later after the fall of the Khazarian Empire, and during a time when the international trading networks collapsed.

As Yiddish became the primary language of Ashkenazic Jews, the language began to acquire new words from other cultures while retaining its Slavic grammar.

Dr Elhaik said: “Yiddish is such a wonderful and complex language, which was inappropriately called “bad German” by both its native and non-native speakers because the language consists of made-up German words and a non-German grammar.

“Yiddish is truly a combination of familiar and adapted German words using Slavic grammar. In a sense the language uses the same premise as Yoda from the Star Wars movies. For example, Yoda’s language consists of common and made-up English words like ‘Wookie’ or ‘Jedi’ but the grammar is different – the words are used in a different order to what we are familiar with.”

He added: “Utilizing the GPS ancestry technology and applying it to the DNA of sole Yiddish speakers and non-Yiddish speakers allowed us to find the ancestral origins of their DNA. The GPS tool indicates where ancient Ashkenaz could have existed over 1,500 years ago.”

Professor Paul Wexler, from the University of Tel Aviv, said: “The linguistic data used are from Yiddish, which we assume was invented in Western Asia as a Slavic language with a largely German-like lexicon and a significant Iranian component on all levels of the language.

“The genetic data presented here appear to corroborate the linguistic hypothesis.”

Source: University of Sheffield news release.

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For the full study report, go to  http://gbe.oxfordjournals.org/content/early/2016/03/03/gbe.evw046.full.pdf+html

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Bigger brains led to bigger bodies in our ancestors

AMERICAN MUSEUM OF NATURAL HISTORY—New research suggests that humans became the large-brained, large-bodied animals we are today because of natural selection to increase brain size. The work, published in the journal Current Anthropology, contradicts previous models that treat brain size and body size as independent traits responding to separate evolutionary pressures. Instead, the study shows that brain size and body size are genetically linked and that selection to increase brain size will “pull along” body size. This phenomenon played a large role in both brain- and body-size increases throughout human evolution and may have been solely responsible for the large increase in both traits that occurred near the origins of our genus, Homo.

“Over the last four million years, brain size and body size increased substantially in our human ancestors,” said paper author Mark Grabowski, a James Arthur postdoctoral fellow in the Division of Anthropology at the American Museum of Natural History. “This observation has led to numerous hypotheses attempting to explain why observed changes occurred, but these typically make the assumption that brain- and body-size evolution are the products of separate natural selection forces.”

That assumption is now being questioned, based on a large body of work that has shown that genetic variation—the fuel of evolution—in some traits is due to genes that also cause variation in other traits, with the result that selection on either trait leads to a correlated response in the unselected trait. Consider the leg bone, or femur, of an elephant. As the bone gets longer, it also gets wider. If artificial selection is used to produce a tall elephant, its legs likely won’t just become long, they’ll also get wider. Part of this effect is due to shared genetic variation, or covariation, among traits in the femur. Grabowski set out to explore this kind of genetic relationship between human brain size and body size, and its impact on our evolution.

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apithecus

 New research shows that a strong selection to increase brain size alone played a large role in both brain- and body-size increases throughout human evolution. This phenomenon also may have been solely responsible for the major increase in both traits that occurred during the transition from human ancestors like Australopithecus, a model of which is seen here in the American Museum of Natural History’s Hall of Human Origins, to Homo erectus. Credit: AMNH/R. Mickens

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With brain- and body-size covariation patterns from a range of primates and modern humans, Grabowski created a number of models to examine how underlying genetic relationships and selection pressures likely interacted across the evolution of our lineage. His findings demonstrate, for the first time, that strong selection to increase brain size alone played a large role in both brain- and body-size increases throughout human evolution. This phenomenon also may have been solely responsible for the major increase in both traits that occurred during the transition from human ancestors like Australopithecus (the most famous of which is the Lucy fossil) to Homo erectus.

In other words, while there are many scientific ideas explaining why it would be beneficial for humans to evolve bigger bodies over time, the new work suggests that those hypotheses may be unnecessary; instead, body size just gets pulled along as the brain expands.

“While selection no doubt played a role in refining the physical changes that came with larger body sizes, my findings suggest it was not the driving force behind body-size evolution in our lineage,” Grabowski said. “Therefore, evolutionary models for the origins of Homo based on an adaptive increase in body size need to be reconsidered.”

Source: American Museum of Natural History subject news release.

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*The Current Anthropology paper: http://www.journals.uchicago.edu/doi/full/10.1086/685655

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Prehistoric hand stencils in Spanish caves not randomly placed, say researchers

Human occupants of two caves in Northern Spain put some thought into where they placed their hand stencils on cave walls as much as 37,000 years ago, during Palaeolithic times. The topography and physical characteristics of the walls in the low light conditions of the caves seem to have mattered to them, suggest a team of researchers.  

Led by Paul Pettitt of the U.K.’s Durham University, the team examined as many as 65 hand stencils, 27 in La Garma Cave, north of the village of Omoño in northern Spain near the coast, and 38 in El Castillo Cave, just southwest of La Garma in the village of Puente Viesgo. They recorded observations, such as color, left or right hand, length of the finger digits, width of the palms, orientation of the hands, and height above the cave floor. In addition, they examined the context of the stencils, such as the type of surface, the topography and natural features of the surface, and any association with other nearby cave art. Their study focused primarily on the contextual, as opposed to the characteristics of the stencils themselves.  

What they found was a pattern that indicated selection or attention to certain types of natural cave wall features for placement of the stencils. “In total 80% of observable stencils at La Garma and 74% at El Castillo have some kind of association, either with fissures or undulations on the caves’ surfaces,” state the researchers in the study report. “Some stencils seem to have been ‘fitted’ to subtle topographic features in the wall, and some were positioned on bosses in the wall in such a manner that they appear to be ‘gripping’ the wall in a similar way that explorers use their hands to steady themselves when navigating the caves,” the study authors added.* 

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 Above and below (close-up view), hand stencils in El Castillo Cave. Gabinete de Prensa del Gobierno de Cantabria, Wikimedia Commons

castillocavepic2

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Moreover, under the low-light conditions of the caves, the authors suggest that the stencils were created using a significant reliance on touch and close-up scrutiny of the surface, in addition to overall visual facility. 

Interestingly, the few hand stencils that were created in what would have been difficult or uncomfortable positions for the artists were clearly placed in association with certain types of natural features, such as atop a stalactite, associated with a crack, or ergonomically fitted to a concave surface with the fingers ‘gripping’ a boss.  

The researchers also determined that more than one individual was making similar decisions about the placement of the stencils, indicating common or shared choices among a group of individuals. 

In sum, the study authors assert that there is “much more to ‘cave art’ than meets the eye.”*  

The study was published in Antiquity.

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* Paul Pettitt, et al., New views on old hands: the context of stencils in El Castillo and La Garma caves (Cantabria, Spain), Antiquity, Vol. 88 (2014): 47 – 63. 

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Site in Russia sheds light on Paleolithic culture east of Europe

LOMONOSOV MOSCOW STATE UNIVERSITY—Archaeologists from the Lomonosov Moscow State University studied artifacts made of bone, antler and ivory excavated at the Sungir archaeological site. Through the study, they determined how Homo sapiens occupying the site processed solid organic materials and produced tools and ornaments. The study was published in a specialized digest produced by the Hugo Obermaier Society for Quaternary Research and Archaeology of the Stone Age.

The work has established that Sungir was a base camp for Paleolithic hunter-gatherers. One of the study authors, Taisiya Soldatova (Ph.D., Faculty of Foreign Languages and Regional Studies, MSU), also reports that further study of the objects may help to determine the place of the site in relation to the Upper Paleolithic of Europe.

The open-air Upper Paleolithic site is located near Vladimir city, 200 kilometers east of Moscow. It was discovered in 1955 during preparation work for construction of a plant, and investigated by an expedition under the leadership of the famous Soviet archaeologist Otto N. Bader. There he and his team uncovered a complex funerary complex, consisting of two graves, each containing two burials. The burials were accompanied by a rich inventory of objects, including a profusion of products made of ivory, such as beads, bracelets, and spears.

Radiocarbon analysis of fossils and other biological materials found at the site suggested a date range between 28,800 ± 240 and 25,500 ± 200 BP, but other data suggests the site is about 30 thousand years old.

During the collaborative work, Taisiya Soldatova conducted a study of 171 specimens of bone, antler and ivory (including working and hunting tools, blanks for various purposes and waste materials), while Vladislav Zhitenev (Ph.D., Associate Professor of Historical Archaeology, on the faculty of Moscow State University) focused his attention on the ornaments: pendants made of arctic fox teeth and beads of ivory.

“The main objective of the study is to examine the products made of solid organic materials (bone, antler and ivory) from the Sungir Upper Paleolithic site. Together with stone tools, working bone is an important indicator of cultural attribution, and can also play a significant role in addressing some of the relative chronology issues”, says Taisiya Soldatova.

Technological analysis of the Upper Paleolithic sites of the Vladimir region have shown that the Sungirian occupants had mastered a wide range of techniques for processing bone material—longitudinal and transverse fracture, transverse breaks with preparatory sawing, cutting, sawing, planing/scraping. All of these techniques have been used to create collections of bones, antler and ivory, so it is possible to determine a uniform treatment of solid organic materials by the Sungirian occupants.

On the other hand, the study showed that there are some differences between bone- and antler-working and the ivory industry: ivory tools and ornaments are better formed than bone and antler. Moreover, no ivory tools were used in household activity: only hunting weapons, art objects and ornaments. The collection, however, also contains three items of ivory that can be interpreted as tools: a “retoucher” and two “shaft straighteners”, though it should be emphasized that these instruments of ivory were found in burials and may thus have a symbolic meaning.

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bonespic

 Bone industry of the Sungir site: 1-5. Credit: Taisiya Soldatova

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huntingpic

 The instruments of hunting: 1, 3 – points; 2, 4 -blanks forpoint. Credit:Taisiya Soldatova

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toolspic

Ivory tools from the Sungir burials: 1,2 – “shaft straighteners”; 3 – “retoucher”. Credit:Taisiya Soldatova

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The peculiarities of ivory processing found at the site have allowed the researchers to draw some parallels between Sungir and early Aurignacian sites (European Upper Paleolithic culture), from the raw material that served as ornaments and small figurines, and, in rare cases – a point with a massive base. Thus, it can be assumed that the bone industry of Sungir was culturally influenced by the early Aurignacian, resulting in similar categories of tools, as well as the nature of the ivory material use. Also found at Sungir was a high percentage of objects from antler (16%), similar to sites of the Upper Paleolithic found in Central and Western Europe.

Among the investigated items are finds of varying completion – from blanks to finished products. Therefore, the researchers suggest that the treatment of bone material happened at the site. In addition, the functional variety of the findings indicates that Sungir, covering an area of over 4,000 km2, showed a  diversity of economic activity: The manufacturing of clothing from animal skins was confirmed by awls and pins; and hoe-like tools for excavation. Archaeologists also found chisels and points – meaning that the Sungir people paid attention to productive activities as well as hunting – particularly deer, mammoths, wolves and wild horses. In other words, Sungir was probably a prehstoric base camp, as opposed to the site discovered near Rusanikha, 8 km away from the study area. The head of the Rusanikha excavations – L.A. Mikhailova – suggests that the site was an encampement of mammoth hunters because of the predominance of stone hunting tools and animal bones.

“Comparing bones, antler and ivory objects from Sungir with European collections of the Early Upper Paleolithic sites can help identify the cause of differences in methods of treating various bone material, and finding the similarities may help define common features in the nature of bone industries of this age and determine the place of the researched site in the Upper Paleolithic of Europe”, Soldatova explains.

Source: Edited and adapted from a  Lomonosov Moscow State University subject news release.

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Early humans followed the fire?

UNIVERSITY OF UTAH—Fire, a tool broadly used for cooking, constructing, hunting and even communicating, was arguably one of the earliest discoveries in human history. But when, how and why it came to be used is hotly debated among scientists.

A new scenario crafted by University of Utah anthropologists proposes that human ancestors became dependent on fire as a result of Africa’s increasingly fire-prone environment 2-3 million years ago.

As the environment became drier and natural fires occurred more frequently, ancestral humans took advantage of these fires to more efficiently search for and handle food. With increased resources and energy, these ancestors were able to travel farther distances and expand to other continents.

The study was funded by the National Science Foundation and the findings were published April 10, 2016 in Evolutionary Anthropology.

Serendipitous science

Current prevailing hypotheses of how human ancestors became fire-dependent depict fire as an accident — a byproduct of another event rather than a standalone occurrence. One hypothesis, for example, explains fire as a result of rock pounding that created a spark and spread to a nearby bush.

“The problem we’re trying to confront is that other hypotheses are unsatisfying. Fire use is so crucial to our biology, it seems unlikely that it wasn’t taken advantage of by our ancestors,” said Kristen Hawkes, distinguished professor of anthropology at the U and the paper’s senior author.

“Everything is modified by fire; just take a look around at the books and furniture in this room. We’re surrounded by fire’s byproducts,” added Christopher Parker, anthropology postdoctoral research associate at the U and the paper’s first author.

The team’s proposed scenario is the first known hypothesis in which fire does not originate serendipitously. Instead, the team suggests that the genus Homo, which includes modern humans and their close relatives, adapted to progressively fire-prone environments caused by increased aridity and flammable landscapes by exploiting fire’s food foraging benefits.

Parker and Hawkes conducted the research with University of Utah anthropology doctoral candidate Earl Keefe, postdoctoral research associate Nicole Herzog and distinguished professor James F O’Connell.

Shedding light on the past

“All humans are fire-dependent. The data show that other animals and even some of our primate cousins use it as an opportunity to eat better; they are essentially taking advantage of landscape fires to forage more efficiently,” said Hawkes.

By reconstructing tropical Africa’s climate and vegetation about 2-3 million years ago, the research team pieced together multiple lines of evidence to craft their proposed scenario for how early human ancestors first used fire to their advantage.

To clarify the dating and scope of increasingly fire-prone landscapes, the research team took advantage of recent work on carbon isotopes in paleosols, or ancient dirt. Because woody plants and more fire-prone tropical grasses use different photosynthetic pathways that result in distinct variants of carbon, the carbon isotopic composition of paleosols can directly indicate the percentage of woody plants versus tropical grasses.

Recent carbon analyses of paleosols from the Awash Valley in Ethiopia and Omo-Turkana basin in northern Kenya and southern Ethiopia show a consistent pattern of woody plants being replaced by more tropical, fire-prone grasses approximately 3.6-1.4 million years ago. This is explained by reductions in atmospheric carbon dioxide levels and increased aridity. Drier conditions and the expansion of fire-prone grasslands are also evidenced in fossil wood evidence in Omo Shungura G Formation, Ethiopia.

As the ecosystem became increasingly arid and a pattern of rapid, recurring fluctuation between woodlands and open grasslands emerged, many ancestral humans adapted to eating grassland plants and food cooked by fires. In essence, they took advantage of the foraging benefits that fire provided.

Turn up the heat: more fire for more food

More specifically, fire-altered landscapes provided foraging benefits by improving both the processes of searching for and handling food. The research team identified these benefits by using the prey/optimal diet model of foraging, which simplifies foraging into two mutually exclusive components — searching and handling — and ranks resources by the expected net profit of energy per unit of time spent handling. This model identifies changes in the suite of resources that give the highest overall rate of gain as search and handling costs change.

By burning off cover and exposing previously obscured holes and animal tracks, fire reduces search time; it also clears the land for faster growing, fire-adapted foliage. Foods altered by burning take less effort to chew and nutrients in seeds and tubers can be more readily digested. Those changes reduce handling efforts and increase the value of those foods.

“Most people think that the logical reaction would be to run away from fire, but fire provided our ancestors with a feeding opportunity. Evidence shows that other animals take advantage of fire for foraging, so it seems very likely that our ancestors did as well,” said Hawkes.

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firepic

 This image shows anthropogenic burning in Hadza country, Africa. Credit: James F. O’Connell

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Without a trace

Landscapes burned by fire, then, had numerous foraging payoffs for genus Homo.

The proposed scenario not only explains how hominins came to manipulate fire for its foraging advantages, but also provides a solution to the baffling mismatch between the fossil and archaeological records. Anatomical changes associated with dependence on cooked food such as reduced tooth size and structures related to chewing appear long before there is clear archaeological evidence of cooking hearths.

Parker and Hawkes’ scenario resolves the mismatch by suggesting that the earliest forms of fire use by the genus Homo would not have left traces in the form of traditional fire hearths.

Instead of cooking over a prepared hearth that would be visible archaeologically, hominins were taking advantage of burns, had an increased energy budget and could travel longer distances. Early fire use, therefore, would have been indistinguishable from naturally occurring fires.

“When our genus appears, almost immediately, those populations got out of Africa. If you look at the other great apes, they’re tied to habitats where juveniles can feed themselves. We were able to expand out of Africa into Europe and Asia because our fire use not only earned higher return rates, but also permitted older women in these communities to help feed juveniles, thereby freeing our ancestors to move into habitats where youngsters couldn’t feed themselves,” said Hawkes.

“This scenario tells a story about our ancestors’ foraging strategies and how those strategies allowed our ancestors to colonize new habitats. It gives us more insight into why we came to be the way we are; fire changed our ancestors’ social organization and life history.”

Looking forward, the research team will take on an ethnographic project with the Hadza people, an indigenous ethnic group in Tanzania that are among the last hunter-gatherers in the world, to learn how they forage in burns. The team will also continue to study more examples of how nonhuman primates forage in burns to confirm the anecdotal evidence that they take advantage of landscape fires, as well as further study fire ecology in tropical Africa and how that allowed ancestors to move to other continents.

Source: University of Utah

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Headdress reconstruction throws light on hunter-gatherer rituals

UNIVERSITY OF YORK—A research team led by archaeologists at the University of York used traditional techniques to create replicas of ritual headdresses made by hunter-gatherers 11,000 years ago in North Western Europe.

Flint blades, hammerstones and burning were among the tools and techniques they employed to fashion reproductions of shamanic headdresses discovered during excavations at the Early Mesolithic site at Star Carr in North Yorkshire.

The research published today in PLOS ONE is the first scientific analysis of the oldest known evidence of a shamanic costume in Europe. It challenges previously held assumptions over the care and time invested in the modification of the animal’s “skull cap” in order to create these ritualistic artefacts.

Instead the study, part of a five-year project supported by the European Research Council, Historic England and the Vale of Pickering Research Trust, suggests that hunter-gatherers achieved this through expedient manufacturing techniques. These may have involved packing the skull with damp clay and placing it in a bed of embers for up to four hours both to facilitate skin removal and make the bone easier to work.

Archaeologists unearthed a total 24 red deer headdresses at Star Carr representing around 90 percent of all such known artefacts across early prehistoric Europe. The artefacts are formed from the upper part of a male red deer skull with the antlers attached – the lower jaw and cranial bones having been removed and the frontal bone perforated.

The majority of the headdresses were discovered during archaeological investigations at Star Carr in the 1940s though researchers unearthed a further three during excavations in 2013. The most complete of these is likely to have come from a male adult red deer though the animal was 50 per cent larger than its modern counterparts.

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headresspic

 Mesolithic headdress made from deer skull, found at Star Carr. Jonathan Cardy, Wikimedia Commons

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Using techniques including 3D laser scanning allowed the team to observe and analyse a number of cut marks radiating out of perforations on both sides of the crania.

The researchers, which also involved researchers from the universities of Bradford, Chester, Manchester, Groningen and Leiden, concluded that hunter-gatherers were likely to have removed the head and superficially cleaned it before starting work on producing the headdress.

The first stage of the process may have involved removal of a large amount of antler possibly to reduce the weight of the headdress and make it easier to work. Some of the removed antler may have formed ‘blanks’ for the production of barbed projectile tips used for hunting and fishing.

But it is also possible that, in some cases, antler blank removal happened much later after the headdress had been used; in which case the process may have been a form of decommissioning of the headdress and/or the recycling of antler. The researchers say that given the amount of worked antler present at Star Carr, including over 200 barbed projectile tips, this is a plausible theory.

Lead author Dr Aimée Little, of the BioArCh research centre in the Department of Archaeology at York, said: “This research shows how experimental archaeology can give important insights into rare ancient artefacts. Knowing fire was used invokes a real sense of atmosphere surrounding the making of these ritual shamanic headdresses.”

Professor Nicky Milner, co-director of the excavations at Star Carr, added: “These headdresses are incredibly rare finds in the archaeological record. This is the only site in Britain where they are found, and there are only a few other headdresses known from Germany. This work into how they might have been made has given us an important glimpse into what life was like 11,000 years ago.”

Dr Andrew Wilson, Senior Lecturer and co-director of Bradford Visualisation in the School of Archaeological Sciences at the University of Bradford, said: ‘This exciting collaboration enabled the team to use a range of complementary 3D capture methods to document and investigate the modification of the deer crania at a variety of scales, before these waterlogged organic artefacts were subject to conservation treatment. This is a great showcase for how 3D documentation and analysis can transform our ability to understand objects of past societies.”

Source: University of York subject news release

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More on widespread literacy in Judah in 600 BCE

AMERICAN FRIENDS OF TEL AVIV UNIVERSITY—Scholars have long debated how much of the Hebrew bible was composed before the destruction of Jerusalem and the Kingdom of Judah in 586 BCE. While scholars agree that key biblical texts were written starting in the 7th century BCE, the exact date of the compilation of these books remains in question.

A new Tel Aviv University study published today in PNAS suggests that widespread literacy was required for this massive undertaking and provides empirical evidence of that literacy in the final days of the Kingdom of Judah. A profusion of literate individuals in Judah may have set the stage for the compilation of biblical works that constitute the basis of Judahite history and theology, such as the early version of the books of Deuteronomy to Second Kings, according to the researchers.

“There’s a heated discussion regarding the timing of the composition of a critical mass of biblical texts,” said Prof. Israel Finkelstein of TAU’s Department of Archaeology and Ancient Near Eastern Civilizations, who led the research together with Prof. Eliezer Piasetzky of TAU’s School of Physics and Astronomy. “But to answer this, one must ask a broader question: What were the literacy rates in Judah at the end of the First Temple period? And what were the literacy rates later on, under Persian rule?”

The interdisciplinary study was conducted by Shira Faigenbaum-Golovin, Arie Shaus and Barak Sober, under the supervision of Prof. Eli Turkel and Prof. David Levin, all of TAU’s Department of Applied Mathematics. Other collaborators included Prof. Nadav Na’aman of TAU’s Department of Jewish History and Prof. Benjamin Sass of TAU’s Department of Archaeology and Ancient Near Eastern Civilizations.

Literacy in the First Temple period

Using cutting-edge computerized image processing and machine learning tools, the TAU team analyzed 16 inscriptions unearthed at an excavation in the remote fort of Arad, and deduced that the texts had been written by at least six authors. The content of the inscriptions disclosed that reading and writing abilities existed throughout the military chain of command, from the highest echelon all the way down to the deputy quartermaster of the fort.

“We designed an algorithm to distinguish between different authors, then composed a statistical mechanism to assess our findings,” said Sober. “Through probability analysis, we eliminated the likelihood that the texts were written by a single author.”

The inscriptions found at Arad consisted of instructions for troop movements and the registration of expenses for food. The tone and nature of the commands precluded the role of professional scribes. Considering the remoteness of Arad, the small garrison stationed there, and the narrow time period of the inscriptions, this finding indicates a high literacy rate within Judah’s administrative apparatus—and provides a suitable background for the composition of a critical mass of biblical texts.

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ostraca

Ostraca (ink inscriptions on clay) from the Iron Age fortress of Arad, located in arid southern Judah. These documents are dated to the latest phase of the First Temple Period in Judah, ca. 600 BCE. The texts represent correspondence of local military personnel. The research engaged new document analysis algorithms aimed at identifying different writers. It detected at least six contemporaneous authors within a corpus of 16 inscriptions. This indicates a high literacy level within the Judahite administration and provides a possible stage-setting for compilation of biblical texts. Credit: Michael Cordonsky (photographer), Tel Aviv University and the Israel Antiquities Authority.

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Literacy more widespread than previously believed

“We found indirect evidence of the existence of an educational infrastructure, which could have enabled the composition of biblical texts,” said Prof. Piasetzky. “Literacy existed at all levels of the administrative, military and priestly systems of Judah. Reading and writing were not limited to a tiny elite.”

“Now our job is to extrapolate from Arad to a broader area,” said Prof. Finkelstein. “Adding what we know about Arad to other forts and administrative localities across ancient Judah, we can estimate that many people could read and write during the last phase of the First Temple period. We assume that in a kingdom of some 100,000 people, at least several hundred were literate.

“Following the fall of Judah, there was a large gap in production of Hebrew inscriptions until the second century BCE, the next period with evidence for widespread literacy. This reduces the odds for a compilation of substantial Biblical literature in Jerusalem between ca. 586 and 200 BCE.”

Source: American Friends of Tel Aviv University

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A Crucified King of the Jews Found in a Jerusalem Tomb?

Lost and almost forgotten over the years amidst the flurry of news about other archaeological discoveries in and around Jerusalem, the ‘Abba Cave’ is arguably still on the list of cold cases of ancient tomb discoveries of the last century. But recently, Dr. James Tabor, Professor of ancient Judaism and early Christianity at the University of North Carolina, Charlotte, has penned a few reminders about it in his popular blog, raising some issues that could be worth another look among scholars with the expertise and resources to investigate the case.  

The story begins with a discovery in 1970 when construction workers stumbled across an ancient tomb while building a private home in the Givat Hamivtar community in East Jerusalem. Interestingly, the tomb was not far from another famous tomb excavated in 1968, also in Givat Hamivtar, that contained the 1st century CE bones of a crucified man named Yehohanan. But the 1970 tomb discovery, consisting of two chambers, was dated to the 1st century BCE. Within the tomb was an ornately engraved ossuary (a limestone bone box used by 1st century jews to collect and store the bones of deceased family members one year after death). On the tomb wall above the ossuary was an inscription in Aramaic: 

“I am Abba, son of Eleazar the priest. I am Abba, the oppressed, the persecuted, born in Jerusalem and exiled to Babylon, who brought back Mattathiah son of Judah and buried him in the cave that I purchased.”  

Initial investigation and interpretation of the tomb and its contents in the 1970’s led scholars to suggest that the tomb contained the remains of Antigonus II Mattathias, the last king of the Hasmonean dynasty, the ruling Jewish family that was established when the Maccabean Revolt successfully threw off the yoke of the Seleucid Empire in the 2nd century BCE. Antigonus II, however, came to a horrific end when he was captured and executed by crucifixion and beheading at the hands of Marc Antony in 37 BCE after Jerusalem was captured and the throne seized by client king Herod (otherwise known as Herod the Great). The circumstances and evidence of the tomb and its contents were telling: The contents of Abba’s inscription on the wall; an elaborately decorated ossuary fit for a king; bones of a person 25 years old — including those of the hand with embedded nails and a cut jaw and cuts on the 2nd vertebra, indications of crucifixion and beheading—all osteological evidence that would be consistent with what is known about Mattathias; and the lack of an inscription on the ossuary identifying the remains, coupled with the finding that the ossuary was hidden in a niche under the floor of the cave — circumstances that could be consistent with someone securing the vanquished king’s remains during a time when the Hasmoneans were under persecution after the fall of Mattathias.   

But later, other scholars disputed the interpretation. Most notable was the analysis of the bones by Patricia Smith of the Hebrew University. Smith concluded that the cut jaw belonged to an elderly woman, and that the nails found in the ossuary had not passed through the bones. 

The case was ‘closed’ for years.

Until two experts began to re-examine the case. 

The first expert was Yoel Elitzur, a Hebrew University historian and scholar of Semitic languages who in 2013 published a study that identified Abba, the name of the person who inscribed the message on the wall above the ossuary in the tomb, as the head of a family (according to Josephus) who were supporters of the Hasmoneans even after Herod had ascended to the throne. 

The second expert was Israel Hershkovitz, a Tel Aviv University anthropologist, who re-examined the nails that were found within the ossuary using an electron microscope, and found that the nails did indeed penetrate the bones of the hand — driven through the palm and bent or hooked, presumably to keep the arms and hands secured on the cross beam of the cross. Moreover, says Hershkovitz, Smith’s earlier examination and conclusions regarding the gender of the bones were unconvincing, as the bones she examined would not securely identify the sex of the person. This is aside from the fact that, if she was correct, then the Romans crucified a woman, something that Hershkovitz maintained the Romans almost never did.

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abbatomb

 The “Abba” tomb. משה גלנץ  Wikimedia Commons

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abbainscription

 The “Abba” tomb inscription. משה גלנץ  Wikimedia Commons

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abbaossuary

 The ossuary, in situ within the tomb.  משה גלנץ  Wikimedia Commons

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abbaossuary2

 The “Abba” ossuary, showing the ornate engravings on one side. Yoav Dothan, Wikimedia Commons

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Tabor, for his part, favors a reconsideration of the original interpretation of the Abba tomb discovery. As he relates in his blog, he suggests the argument for the remains of a crucified and beheaded male in the tomb is still convincing. Taking all the facts together, “the hypothesis that this individual was the Hasmonean royal priest/king Antigonus,” writes Tabor, “turns out to be a live option.”*

More detailed information can be found in Dr. James D. Tabor’s blog.

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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.