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###Answer the question from the input provided. Please answer from input only. ###Input: DECnet is a suite of network protocols created by Digital Equipment Corporation, originally released in 1975 in order to connect two PDP-11 minicomputers. It evolved into one of the first peer-to-peer network architectures, thus transforming DEC into a networking powerhouse in the 1980s. Initially built with three layers, it later (1982) evolved into a seven-layer OSI-compliant networking protocol. The DECnet protocols were designed entirely by Digital Equipment Corporation. However, DECnet Phase II (and later) were open standards with published specifications, and several implementations were developed outside DEC, including one for Linux. In 1965, at the instigation of Warner Sinback, a data network based on this voice-phone network was designed to connect GE's four computer sales and service centers (Schenectady, Phoenix, Chicago, and Phoenix) to facilitate a computer time-sharing service, apparently the world's first commercial online service. (In addition to selling GE computers, the centers were computer service bureaus, offering batch processing services. They lost money from the beginning, and Sinback, a high-level marketing manager, was given the job of turning the business around. He decided that a time-sharing system, based on Kemney's work at Dartmouth—which used a computer on loan from GE—could be profitable. Warner was right.) Merit Network, Inc., an independent non-profit 501(c)(3) corporation governed by Michigan's public universities, was formed in 1966 as the Michigan Educational Research Information Triad to explore computer networking between three of Michigan's public universities as a means to help the state's educational and economic development. With initial support from the State of Michigan and the National Science Foundation (NSF), the packet-switched network was first demonstrated in December 1971 when an interactive host to host connection was made between the IBM mainframe computer systems at the University of Michigan in Ann Arbor and Wayne State University in Detroit. In October 1972 connections to the CDC mainframe at Michigan State University in East Lansing completed the triad. Over the next several years in addition to host to host interactive connections the network was enhanced to support terminal to host connections, host to host batch connections (remote job submission, remote printing, batch file transfer), interactive file transfer, gateways to the Tymnet and Telenet public data networks, X.25 host attachments, gateways to X.25 data networks, Ethernet attached hosts, and eventually TCP/IP and additional public universities in Michigan join the network. All of this set the stage for Merit's role in the NSFNET project starting in the mid-1980s. Telenet was the first FCC-licensed public data network in the United States. It was founded by former ARPA IPTO director Larry Roberts as a means of making ARPANET technology public. He had tried to interest AT&T in buying the technology, but the monopoly's reaction was that this was incompatible with their future. Bolt, Beranack and Newman (BBN) provided the financing. It initially used ARPANET technology but changed the host interface to X.25 and the terminal interface to X.29. Telenet designed these protocols and helped standardize them in the CCITT. Telenet was incorporated in 1973 and started operations in 1975. It went public in 1979 and was then sold to GTE. Tymnet was an international data communications network headquartered in San Jose, CA that utilized virtual call packet switched technology and used X.25, SNA/SDLC, BSC and ASCII interfaces to connect host computers (servers)at thousands of large companies, educational institutions, and government agencies. Users typically connected via dial-up connections or dedicated async connections. The business consisted of a large public network that supported dial-up users and a private network business that allowed government agencies and large companies (mostly banks and airlines) to build their own dedicated networks. The private networks were often connected via gateways to the public network to reach locations not on the private network. Tymnet was also connected to dozens of other public networks in the U.S. and internationally via X.25/X.75 gateways. (Interesting note: Tymnet was not named after Mr. Tyme. Another employee suggested the name.) ###Question: WHy was the Merit network formed in Michigan ###Answer: {'answer':'as a means to help the state's educational and economic development'}
###Answer the question from the input provided. Please answer from input only. ###Input: Accounts of Genghis Khan's life are marked by claims of a series of betrayals and conspiracies. These include rifts with his early allies such as Jamukha (who also wanted to be a ruler of Mongol tribes) and Wang Khan (his and his father's ally), his son Jochi, and problems with the most important shaman, who was allegedly trying to drive a wedge between him and his loyal brother Khasar. His military strategies showed a deep interest in gathering good intelligence and understanding the motivations of his rivals, exemplified by his extensive spy network and Yam route systems. He seemed to be a quick student, adopting new technologies and ideas that he encountered, such as siege warfare from the Chinese. He was also ruthless, demonstrated by his tactic of measuring against the linchpin, used against the tribes led by Jamukha. As a result, by 1206 Temüjin had managed to unite or subdue the Merkits, Naimans, Mongols, Keraites, Tatars, Uyghurs, and other disparate smaller tribes under his rule. It was a monumental feat for the "Mongols" (as they became known collectively). At a Khuruldai, a council of Mongol chiefs, Temüjin was acknowledged as "Khan" of the consolidated tribes and took the new title "Genghis Khan". The title Khagan was not conferred on Genghis until after his death, when his son and successor, Ögedei, took the title for himself and extended it posthumously to his father (as he was also to be posthumously declared the founder of the Yuan dynasty). This unification of all confederations by Genghis Khan established peace between previously warring tribes and a single political and military force under Genghis Khan. In 1211, after the conquest of Western Xia, Genghis Khan planned again to conquer the Jin dynasty. The commander of the Jin dynasty army made a tactical mistake in not attacking the Mongols at the first opportunity. Instead, the Jin commander sent a messenger, Ming-Tan, to the Mongol side, who defected and told the Mongols that the Jin army was waiting on the other side of the pass. At this engagement fought at Badger Pass the Mongols massacred hundreds of thousands of Jin troops. In 1215 Genghis besieged, captured, and sacked the Jin capital of Zhongdu (modern-day Beijing). This forced the Emperor Xuanzong to move his capital south to Kaifeng, abandoning the northern half of his kingdom to the Mongols. Between 1232 and 1233, Kaifeng fell to the Mongols under the reign of Genghis' third son, Ögedei Khan. The Jin dynasty collapsed in 1234, after the siege of Caizhou. Kuchlug, the deposed Khan of the Naiman confederation that Temüjin defeated and folded into his Mongol Empire, fled west and usurped the khanate of Qara Khitai (also known as the Western Liao, as it was originally established as remnants of the Liao dynasty). Genghis Khan decided to conquer the Qara Khitai and defeat Kuchlug, possibly to take him out of power. By this time the Mongol army was exhausted from ten years of continuous campaigning in China against the Western Xia and Jin dynasty. Therefore, Genghis sent only two tumen (20,000 soldiers) against Kuchlug, under his younger general, Jebe, known as "The Arrow". With such a small force, the invading Mongols were forced to change strategies and resort to inciting internal revolt among Kuchlug's supporters, leaving the Qara Khitai more vulnerable to Mongol conquest. As a result, Kuchlug's army was defeated west of Kashgar. Kuchlug fled again, but was soon hunted down by Jebe's army and executed. By 1218, as a result of defeat of Qara Khitai, the Mongol Empire and its control extended as far west as Lake Balkhash, which bordered the Khwarezmia (Khwarezmid Empire), a Muslim state that reached the Caspian Sea to the west and Persian Gulf and the Arabian Sea to the south. ###Question: What dynasty did Genghis Khan plan to attack after conquering Western Xia? ###Answer: {'answer':'the Jin dynasty'}
###Answer the question from the input provided. Please answer from input only. ###Input: What we now call gravity was not identified as a universal force until the work of Isaac Newton. Before Newton, the tendency for objects to fall towards the Earth was not understood to be related to the motions of celestial objects. Galileo was instrumental in describing the characteristics of falling objects by determining that the acceleration of every object in free-fall was constant and independent of the mass of the object. Today, this acceleration due to gravity towards the surface of the Earth is usually designated as and has a magnitude of about 9.81 meters per second squared (this measurement is taken from sea level and may vary depending on location), and points toward the center of the Earth. This observation means that the force of gravity on an object at the Earth's surface is directly proportional to the object's mass. Thus an object that has a mass of will experience a force: Newton came to realize that the effects of gravity might be observed in different ways at larger distances. In particular, Newton determined that the acceleration of the Moon around the Earth could be ascribed to the same force of gravity if the acceleration due to gravity decreased as an inverse square law. Further, Newton realized that the acceleration due to gravity is proportional to the mass of the attracting body. Combining these ideas gives a formula that relates the mass () and the radius () of the Earth to the gravitational acceleration: In this equation, a dimensional constant is used to describe the relative strength of gravity. This constant has come to be known as Newton's Universal Gravitation Constant, though its value was unknown in Newton's lifetime. Not until 1798 was Henry Cavendish able to make the first measurement of using a torsion balance; this was widely reported in the press as a measurement of the mass of the Earth since knowing could allow one to solve for the Earth's mass given the above equation. Newton, however, realized that since all celestial bodies followed the same laws of motion, his law of gravity had to be universal. Succinctly stated, Newton's Law of Gravitation states that the force on a spherical object of mass due to the gravitational pull of mass is It was only the orbit of the planet Mercury that Newton's Law of Gravitation seemed not to fully explain. Some astrophysicists predicted the existence of another planet (Vulcan) that would explain the discrepancies; however, despite some early indications, no such planet could be found. When Albert Einstein formulated his theory of general relativity (GR) he turned his attention to the problem of Mercury's orbit and found that his theory added a correction, which could account for the discrepancy. This was the first time that Newton's Theory of Gravity had been shown to be less correct than an alternative. Since then, and so far, general relativity has been acknowledged as the theory that best explains gravity. In GR, gravitation is not viewed as a force, but rather, objects moving freely in gravitational fields travel under their own inertia in straight lines through curved space-time – defined as the shortest space-time path between two space-time events. From the perspective of the object, all motion occurs as if there were no gravitation whatsoever. It is only when observing the motion in a global sense that the curvature of space-time can be observed and the force is inferred from the object's curved path. Thus, the straight line path in space-time is seen as a curved line in space, and it is called the ballistic trajectory of the object. For example, a basketball thrown from the ground moves in a parabola, as it is in a uniform gravitational field. Its space-time trajectory (when the extra ct dimension is added) is almost a straight line, slightly curved (with the radius of curvature of the order of few light-years). The time derivative of the changing momentum of the object is what we label as "gravitational force". ###Question: How might gravity effects be observed differently according to Newton? ###Answer: {'answer':'at larger distances.'}
###Answer the question from the input provided. Please answer from input only. ###Input: The University is organized into eleven separate academic units—ten faculties and the Radcliffe Institute for Advanced Study—with campuses throughout the Boston metropolitan area: its 209-acre (85 ha) main campus is centered on Harvard Yard in Cambridge, approximately 3 miles (5 km) northwest of Boston; the business school and athletics facilities, including Harvard Stadium, are located across the Charles River in the Allston neighborhood of Boston and the medical, dental, and public health schools are in the Longwood Medical Area. Harvard's $37.6 billion financial endowment is the largest of any academic institution. Harvard was formed in 1636 by vote of the Great and General Court of the Massachusetts Bay Colony. It was initially called "New College" or "the college at New Towne". In 1638, the college became home for North America's first known printing press, carried by the ship John of London. In 1639, the college was renamed Harvard College after deceased clergyman John Harvard, who was an alumnus of the University of Cambridge. He had left the school £779 and his library of some 400 books. The charter creating the Harvard Corporation was granted in 1650. In the early years the College trained many Puritan ministers.[citation needed] (A 1643 publication said the school's purpose was "to advance learning and perpetuate it to posterity, dreading to leave an illiterate ministry to the churches when our present ministers shall lie in the dust".) It offered a classic curriculum on the English university model—​​many leaders in the colony had attended the University of Cambridge—​​but conformed Puritanism. It was never affiliated with any particular denomination, but many of its earliest graduates went on to become clergymen in Congregational and Unitarian churches. Throughout the 18th century, Enlightenment ideas of the power of reason and free will became widespread among Congregationalist ministers, putting those ministers and their congregations in tension with more traditionalist, Calvinist parties.:1–4 When the Hollis Professor of Divinity David Tappan died in 1803 and the president of Harvard Joseph Willard died a year later, in 1804, a struggle broke out over their replacements. Henry Ware was elected to the chair in 1805, and the liberal Samuel Webber was appointed to the presidency of Harvard two years later, which signaled the changing of the tide from the dominance of traditional ideas at Harvard to the dominance of liberal, Arminian ideas (defined by traditionalists as Unitarian ideas).:4–5:24 In 1846, the natural history lectures of Louis Agassiz were acclaimed both in New York and on the campus at Harvard College. Agassiz's approach was distinctly idealist and posited Americans' "participation in the Divine Nature" and the possibility of understanding "intellectual existences". Agassiz's perspective on science combined observation with intuition and the assumption that a person can grasp the "divine plan" in all phenomena. When it came to explaining life-forms, Agassiz resorted to matters of shape based on a presumed archetype for his evidence. This dual view of knowledge was in concert with the teachings of Common Sense Realism derived from Scottish philosophers Thomas Reid and Dugald Stewart, whose works were part of the Harvard curriculum at the time. The popularity of Agassiz's efforts to "soar with Plato" probably also derived from other writings to which Harvard students were exposed, including Platonic treatises by Ralph Cudworth, John Norrisand, in a Romantic vein, Samuel Coleridge. The library records at Harvard reveal that the writings of Plato and his early modern and Romantic followers were almost as regularly read during the 19th century as those of the "official philosophy" of the more empirical and more deistic Scottish school. ###Question: In what year did Harvard President Joseph Willard die? ###Answer: {'answer':'1804'}
###Answer the question from the input provided. Please answer from input only. ###Input: A second period of international expansion is linked to that of the ESPN network in the 1990s, and policies enacted in the 2000s by Disney Media Networks (which included the expansion of several of the company's U.S.-based cable networks including Disney Channel and its spinoffs Toon Disney, Playhouse Disney and Jetix; although Disney also sold its 33% stake in European sports channel Eurosport for $155 million in June 2000). In contrast to Disney's other channels, ABC is broadcast in the United States, although the network's programming is syndicated in many countries. The policy regarding wholly owned international networks was revived in 2004 when on September 27 of that year, ABC announced the launch of ABC1, a free-to-air channel in the United Kingdom owned by the ABC Group. However, on September 8, 2007, Disney announced that it would discontinue ABC1 citing to the channel's inability to attain sustainable viewership. With ABC1's shutdown that October, the company's attempt to develop ABC International were discontinued. The idea was to create a network of wholly and partially owned channels, and affiliates to rebroadcast the network's programs. In 1959, this rerun activity was completed with program syndication, with ABC Films selling programs to networks not owned by ABC. The arrival of satellite television ended the need for ABC to hold interests in other countries; many governments also wanted to increase their independence and strengthen legislation to limit foreign ownership of broadcasting properties. As a result, ABC was forced to sell all of its interests in international networks, mainly in Japan and Latin America, in the 1970s. The first attempts to internationalize the ABC television network date back to the 1950s, after Leonard Goldenson, following the United Paramount Theatres model, tried to use on ABC the same strategies he had made in expanding UPT's theater operation to the international market. Leonard Goldenson said that ABC's first international activity was broadcasting the coronation of Queen Elizabeth II in June 1953; CBS and NBC were unable to cover the coronation live due to respective issues with technical problems and flight delays. NBC's plane landed in Latin America[where?], leading ABC to learn of subsidiaries in that region. Goldenson tried international investing, having ABC invest in the Latin American market, acquiring a 51% interest in a network covering Central America. Goldenson also cited interest in Japan in the early 1950s, acquiring a 5% stake in two new domestic networks, the Mainichi Broadcasting System in 1951 and Nihon Educational Television in 1957. Goldenson also invested in broadcasting properties in Beirut in the mid-1960s. ABC currently holds the broadcast rights to the Academy Awards, Emmy Awards (which are rotated across all four major networks on a year-to-year basis), American Music Awards, Disney Parks Christmas Day Parade, Tournament of Roses Parade, Country Music Association Awards and the CMA Music Festival. Since 2000, ABC has also owned the television rights to most of the Peanuts television specials, having acquired the broadcast rights from CBS, which originated the specials in 1965 with the debut of A Charlie Brown Christmas (other Peanuts specials broadcast annually by ABC, including A Charlie Brown Christmas, include It's the Great Pumpkin, Charlie Brown and A Charlie Brown Thanksgiving). Since 1974, ABC has generally aired Dick Clark's New Year's Rockin' Eve on New Year's Eve (hosted first by its creator Dick Clark, and later by his successor Ryan Seacrest); the only exception was in 1999, when ABC put it on a one-year hiatus to provide coverage of the international millennium festivities, though Clark's traditional countdown from Times Square was still featured within the coverage. ABC has also aired the Miss America pageant from 1954 to 1956, 1997 to 2005 (with the television rights being assumed by cable channel TLC in 2006, when the pageant moved from its longtime homebase in Atlantic City to Las Vegas, before returning to Atlantic City in 2013) and since 2011. Under its current contract with the Miss America Organization, ABC will continue to broadcast the pageant through 2016. ###Question: What was the first international event broadcast by ABC? ###Answer: {'answer':'coronation of Queen Elizabeth II'}
###Answer the question from the input provided. Please answer from input only. ###Input: One of the oldest depictions of civil disobedience is in Sophocles' play Antigone, in which Antigone, one of the daughters of former King of Thebes, Oedipus, defies Creon, the current King of Thebes, who is trying to stop her from giving her brother Polynices a proper burial. She gives a stirring speech in which she tells him that she must obey her conscience rather than human law. She is not at all afraid of the death he threatens her with (and eventually carries out), but she is afraid of how her conscience will smite her if she does not do this. Following the Peterloo massacre of 1819, poet Percy Shelley wrote the political poem The Mask of Anarchy later that year, that begins with the images of what he thought to be the unjust forms of authority of his time—and then imagines the stirrings of a new form of social action. It is perhaps the first modern[vague] statement of the principle of nonviolent protest. A version was taken up by the author Henry David Thoreau in his essay Civil Disobedience, and later by Gandhi in his doctrine of Satyagraha. Gandhi's Satyagraha was partially influenced and inspired by Shelley's nonviolence in protest and political action. In particular, it is known that Gandhi would often quote Shelley's Masque of Anarchy to vast audiences during the campaign for a free India. It has been argued that the term "civil disobedience" has always suffered from ambiguity and in modern times, become utterly debased. Marshall Cohen notes, "It has been used to describe everything from bringing a test-case in the federal courts to taking aim at a federal official. Indeed, for Vice President Agnew it has become a code-word describing the activities of muggers, arsonists, draft evaders, campaign hecklers, campus militants, anti-war demonstrators, juvenile delinquents and political assassins." LeGrande writes that "the formulation of a single all-encompassing definition of the term is extremely difficult, if not impossible. In reviewing the voluminous literature on the subject, the student of civil disobedience rapidly finds himself surrounded by a maze of semantical problems and grammatical niceties. Like Alice in Wonderland, he often finds that specific terminology has no more (or no less) meaning than the individual orator intends it to have." He encourages a distinction between lawful protest demonstration, nonviolent civil disobedience, and violent civil disobedience. Civil disobedience is usually defined as pertaining to a citizen's relation to the state and its laws, as distinguished from a constitutional impasse in which two public agencies, especially two equally sovereign branches of government, conflict. For instance, if the head of government of a country were to refuse to enforce a decision of that country's highest court, it would not be civil disobedience, since the head of government would be acting in her or his capacity as public official rather than private citizen. ###Question: If the head of government refuses to enforce a decision of the highest court what terminology could be used? ###Answer: {'answer':'constitutional impasse'}
###Answer the question from the input provided. Please answer from input only. ###Input: Between Bingen and Bonn, the Middle Rhine flows through the Rhine Gorge, a formation which was created by erosion. The rate of erosion equaled the uplift in the region, such that the river was left at about its original level while the surrounding lands raised. The gorge is quite deep and is the stretch of the river which is known for its many castles and vineyards. It is a UNESCO World Heritage Site (2002) and known as "the Romantic Rhine", with more than 40 castles and fortresses from the Middle Ages and many quaint and lovely country villages. Until the early 1980s, industry was a major source of water pollution. Although many plants and factories can be found along the Rhine up into Switzerland, it is along the Lower Rhine that the bulk of them are concentrated, as the river passes the major cities of Cologne, Düsseldorf and Duisburg. Duisburg is the home of Europe's largest inland port and functions as a hub to the sea ports of Rotterdam, Antwerp and Amsterdam. The Ruhr, which joins the Rhine in Duisburg, is nowadays a clean river, thanks to a combination of stricter environmental controls, a transition from heavy industry to light industry and cleanup measures, such as the reforestation of Slag and brownfields. The Ruhr currently provides the region with drinking water. It contributes 70 m3/s (2,500 cu ft/s) to the Rhine. Other rivers in the Ruhr Area, above all, the Emscher, still carry a considerable degree of pollution. The dominant economic sectors in the Middle Rhine area are viniculture and tourism. The Rhine Gorge between Rüdesheim am Rhein and Koblenz is listed as a UNESCO World Heritage Site. Near Sankt Goarshausen, the Rhine flows around the famous rock Lorelei. With its outstanding architectural monuments, the slopes full of vines, settlements crowded on the narrow river banks and scores of castles lined up along the top of the steep slopes, the Middle Rhine Valley can be considered the epitome of the Rhine romanticism. The Lower Rhine flows through North Rhine-Westphalia. Its banks are usually heavily populated and industrialized, in particular the agglomerations Cologne, Düsseldorf and Ruhr area. Here the Rhine flows through the largest conurbation in Germany, the Rhine-Ruhr region. One of the most important cities in this region is Duisburg with the largest river port in Europe (Duisport). The region downstream of Duisburg is more agricultural. In Wesel, 30 km downstream of Duisburg, is located the western end of the second east-west shipping route, the Wesel-Datteln Canal, which runs parallel to the Lippe. Between Emmerich and Cleves the Emmerich Rhine Bridge, the longest suspension bridge in Germany, crosses the 400 m wide river. Near Krefeld, the river crosses the Uerdingen line, the line which separates the areas where Low German and High German are spoken. From here, the situation becomes more complicated, as the Dutch name Rijn no longer coincides with the main flow of water. Two thirds of the water flow volume of the Rhine flows farther west, through the Waal and then, via the Merwede and Nieuwe Merwede (De Biesbosch), merging with the Meuse, through the Hollands Diep and Haringvliet estuaries, into the North Sea. The Beneden Merwede branches off, near Hardinxveld-Giessendam and continues as the Noord, to join the Lek, near the village of Kinderdijk, to form the Nieuwe Maas; then flows past Rotterdam and continues via Het Scheur and the Nieuwe Waterweg, to the North Sea. The Oude Maas branches off, near Dordrecht, farther down rejoining the Nieuwe Maas to form Het Scheur. ###Question: Besides viniculture, what's a dominant economic sector of the Middle Rhine? ###Answer: {'answer':'tourism'}
###Answer the question from the input provided. Please answer from input only. ###Input: The new office of the PM will have power and authority to co-ordinate and supervise the functions of the Government and will be occupied by an elected MP who will be the leader of the party or coalition with majority members in Parliament. The world watched Annan and his UN-backed panel and African Union chairman Jakaya Kikwete as they brought together the former rivals to the signing ceremony, beamed live on national TV from the steps of Nairobi's Harambee House. On 29 February 2008, representatives of PNU and ODM began working on the finer details of the power-sharing agreement. Kenyan lawmakers unanimously approved a power-sharing deal 18 March 2008, aimed at salvaging a country usually seen as one of the most stable and prosperous in Africa. The deal brought Kibaki's PNU and Odinga's ODM together and heralded the formation of the grand coalition, in which the two political parties would share power equally. A constitutional change was considered that would eliminate the position of Prime Minister and simultaneously reduce the powers of the President. A referendum to vote on the proposed constitution was held on 4 August 2010, and the new constitution passed by a wide margin. Among other things, the new constitution delegates more power to local governments and gives Kenyans a bill of rights. It was promulgated on 27 August 2010 at a euphoric ceremony in Nairobi's Uhuru Park, accompanied by a 21-gun salute. The event was attended by various African leaders and praised by the international community. As of that day, the new constitution heralding the Second Republic came into force. In December 2014, President Uhuru Kenyatta signed a Security Laws Amendment Bill, which supporters of the law suggested was necessary to guard against armed groups. Opposition politicians, human rights groups, and nine Western countries criticised the security bill, arguing that it infringed on democratic freedoms. The governments of the United States, Britain, Germany and France also collectively issued a press statement cautioning about the law's potential impact. Through the Jubillee Coalition, the Bill was later passed on 19 December in the National Assembly under acrimonious circumstances. With International Criminal Court trial dates in 2013 for both President Kenyatta and Deputy President William Ruto related to the 2007 election aftermath, US President Barack Obama chose not to visit the country during his mid-2013 African trip. Later in the summer, Kenyatta visited China at the invitation of President Xi Jinping after a stop in Russia and not having visited the United States as president. In July 2015 Obama visited Kenya, as the first American president to visit the country while in office. The armed forces are regularly deployed in peacekeeping missions around the world. Further, in the aftermath of the national elections of December 2007 and the violence that subsequently engulfed the country, a commission of inquiry, the Waki Commission, commended its readiness and adjudged it to "have performed its duty well." Nevertheless, there have been serious allegations of human rights violations, most recently while conducting counter-insurgency operations in the Mt Elgon area and also in the district of Mandera central. ###Question: What constitutional change was considered? ###Answer: {'answer':'eliminate the position of Prime Minister and simultaneously reduce the powers of the President'}
###Answer the question from the input provided. Please answer from input only. ###Input: In the United Kingdom, BBC Radio 5 Live and 5 Live Sports Extra will carry the contest. The BBC will carry its own British English broadcast, with Greg Brady, Darren Fletcher and Rocky Boiman on commentary. In honor of the 50th Super Bowl, the pregame ceremony featured the on-field introduction of 39 of the 43 previous Super Bowl Most Valuable Players. Bart Starr (MVP of Super Bowls I and II) and Chuck Howley (MVP of Super Bowl V) appeared via video, while Peyton Manning (MVP of Super Bowl XLI and current Broncos quarterback) was shown in the locker room preparing for the game. No plans were announced regarding the recognition of Harvey Martin, co-MVP of Super Bowl XII, who died in 2001. Six-time Grammy winner and Academy Award nominee Lady Gaga performed the national anthem, while Academy Award winner Marlee Matlin provided American Sign Language (ASL) translation. In late November 2015, reports surfaced stating that "multiple acts" would perform during the halftime show. On December 3, the league confirmed that the show would be headlined by the British rock group Coldplay. On January 7, 2016, Pepsi confirmed to the Associated Press that Beyoncé, who headlined the Super Bowl XLVII halftime show and collaborated with Coldplay on the single "Hymn for the Weekend", would be making an appearance. Bruno Mars, who headlined the Super Bowl XLVIII halftime show, and Mark Ronson also performed. Denver took the opening kickoff and started out strong with Peyton Manning completing an 18-yard pass to tight end Owen Daniels and a 22-yard throw to receiver Andre Caldwell. A pair of carries by C. J. Anderson moved the ball up 20 yards to the Panthers 14-yard line, but Carolina's defense dug in over the next three plays. First, linebacker Shaq Thompson tackled Ronnie Hillman for a 3-yard loss. Then after an incompletion, Thomas Davis tackled Anderson for a 1-yard gain on third down, forcing Denver to settle for a 3–0 lead on a Brandon McManus 34-yard field goal. The score marked the first time in the entire postseason that Carolina was facing a deficit. ###Question: How many Grammys has Lady Gaga won? ###Answer: {'answer':'Six'}
###Answer the question from the input provided. Please answer from input only. ###Input: In the early 1990s the memory of Genghis Khan with the Mongolian national identity has had a powerful revival partly because of his perception during the Mongolian People's Republic period. Genghis Khan became one of the central figures of the national identity. He is looked upon positively by Mongolians for his role in uniting warring tribes. For example, it is not uncommon for Mongolians to refer to their country as "Genghis Khan's Mongolia", to themselves as "Genghis Khan's children", and to Genghis Khan as the "father of the Mongols" especially among the younger generation. However, there is a chasm in the perception of his brutality. Mongolians maintain that the historical records written by non-Mongolians are unfairly biased against Genghis Khan and that his butchery is exaggerated, while his positive role is underrated. In Mongolia today, Genghis Khan's name and likeness are endorsed on products, streets, buildings, and other places. His face can be found on everyday commodities, from liquor bottles to candy products, and on the largest denominations of 500, 1,000, 5,000, 10,000, and 20,000 Mongolian tögrög (₮). Mongolia's main international airport in Ulaanbaatar is named Chinggis Khaan International Airport. Major Genghis Khan statues have been erected before the parliament and near Ulaanbaatar. There have been repeated discussions about regulating the use of his name and image to avoid trivialization. Genghis Khan is regarded as one of the prominent leaders in Mongolia's history. He is responsible for the emergence of the Mongols as a political and ethnic identity because there was no unified identity between the tribes that had cultural similarity. He reinforced many Mongol traditions and provided stability and unity during a time of almost endemic warfare between tribes. He is also given credit for the introduction of the traditional Mongolian script and the creation of the Ikh Zasag (Great Administration), the first written Mongolian law. "Ikh Zasag law adopted during Genghis Khan’s time in Mongolia had points to punish illegal matters related to corruption and bribery very heavily," Mongolian President Tsakhiagiin Elbegdorj noted. President Elbegdorj sees Genghis Khan as a leader from whom to learn for anti-corruption efforts as Genghis Khan sought equal protection under the law for all citizens regardless of status or wealth. "Chinggis (Genghis Khan)...was a man who deeply realized that the justice begins and consolidates with the equality of law, and not with the distinctions between people. He was a man who knew that the good laws and rules lived longer than fancy palaces," Elbegdorj said in his speech on the 850th anniversary of Chinggis Khaan's birth. In summary, Mongolians see him as the fundamental figure in the founding of the Mongol Empire and therefore the basis for Mongolia as a country. There are conflicting views of Genghis Khan in the People's Republic of China with some viewing him positively in the Inner Mongolia region where there are a monument and buildings about him and where there is a considerable number of Mongols in the area with a population of around 5 million, almost twice the population of Mongolia. While Genghis Khan never conquered all of China, his grandson Kublai Khan completed that conquest and established the Yuan dynasty that is often credited with re-uniting China. There has been much artwork and literature praising Genghis as a great military leader and political genius. The years of the Mongol-established Yuan dynasty left an indelible imprint on Chinese political and social structures for subsequent generations with literature during the Jin dynasty relatively fewer. In general the legacy of Genghis Khan and his successors, who completed the conquest of China after 65 years of struggle, remains a mixed topic.[citation needed] In the Middle East, and particularly in Iran, Genghis Khan is almost universally condemned as a destructive and genocidal warlord who caused enormous damage and destruction to the population of these areas. Steven R. Ward wrote that "Overall, the Mongol violence and depredations killed up to three-fourths of the population of the Iranian Plateau, possibly 10 to 15 million people. Some historians have estimated that Iran's population did not again reach its pre-Mongol levels until the mid-20th century." ###Question: Which Middle Eastern nation in particular views Genghis Khan as a contemptible perpetrator of genocide? ###Answer: {'answer':'Iran'}
###Answer the question from the input provided. Please answer from input only. ###Input: Luther devised the catechism as a method of imparting the basics of Christianity to the congregations. In 1529, he wrote the Large Catechism, a manual for pastors and teachers, as well as a synopsis, the Small Catechism, to be memorised by the people themselves. The catechisms provided easy-to-understand instructional and devotional material on the Ten Commandments, the Apostles' Creed, the Lord's Prayer, baptism, and the Lord's Supper. Luther incorporated questions and answers in the catechism so that the basics of Christian faith would not just be learned by rote, "the way monkeys do it", but understood. The catechism is one of Luther's most personal works. "Regarding the plan to collect my writings in volumes," he wrote, "I am quite cool and not at all eager about it because, roused by a Saturnian hunger, I would rather see them all devoured. For I acknowledge none of them to be really a book of mine, except perhaps the Bondage of the Will and the Catechism." The Small Catechism has earned a reputation as a model of clear religious teaching. It remains in use today, along with Luther's hymns and his translation of the Bible. Luther's Small Catechism proved especially effective in helping parents teach their children; likewise the Larger Catechism was effective for pastors. Using the German vernacular, they expressed the Apostles' Creed in simpler, more personal, Trinitarian language. He rewrote each article of the Creed to express the character of the Father, the Son, or the Holy Spirit. Luther's goal was to enable the catechumens to see themselves as a personal object of the work of the three persons of the Trinity, each of which works in the catechumen's life. That is, Luther depicted the Trinity not as a doctrine to be learned, but as persons to be known. The Father creates, the Son redeems, and the Spirit sanctifies, a divine unity with separate personalities. Salvation originates with the Father and draws the believer to the Father. Luther's treatment of the Apostles' Creed must be understood in the context of the Decalogue (the Ten Commandments) and the Lord's Prayer, which are also part of the Lutheran catechical teaching. Luther had published his German translation of the New Testament in 1522, and he and his collaborators completed the translation of the Old Testament in 1534, when the whole Bible was published. He continued to work on refining the translation until the end of his life. Others had translated the Bible into German, but Luther tailored his translation to his own doctrine. When he was criticised for inserting the word "alone" after "faith" in Romans 3:28, he replied in part: "[T]he text itself and the meaning of St. Paul urgently require and demand it. For in that very passage he is dealing with the main point of Christian doctrine, namely, that we are justified by faith in Christ without any works of the Law. ... But when works are so completely cut away – and that must mean that faith alone justifies – whoever would speak plainly and clearly about this cutting away of works will have to say, 'Faith alone justifies us, and not works'." Luther's translation used the variant of German spoken at the Saxon chancellery, intelligible to both northern and southern Germans. He intended his vigorous, direct language to make the Bible accessible to everyday Germans, "for we are removing impediments and difficulties so that other people may read it without hindrance." ###Question: When did Martin Luther publish his translation of the New Testament? ###Answer: {'answer':'1522'}
###Answer the question from the input provided. Please answer from input only. ###Input: After each election to the Scottish Parliament, at the beginning of each parliamentary session, Parliament elects one MSP to serve as Presiding Officer, the equivalent of the speaker (currently Tricia Marwick), and two MSPs to serve as deputies (currently Elaine Smith and John Scott). The Presiding Officer and deputies are elected by a secret ballot of the 129 MSPs, which is the only secret ballot conducted in the Scottish Parliament. Principally, the role of the Presiding Officer is to chair chamber proceedings and the Scottish Parliamentary Corporate Body. When chairing meetings of the Parliament, the Presiding Officer and his/her deputies must be politically impartial. During debates, the Presiding Officer (or the deputy) is assisted by the parliamentary clerks, who give advice on how to interpret the standing orders that govern the proceedings of meetings. A vote clerk sits in front of the Presiding Officer and operates the electronic voting equipment and chamber clocks. As a member of the Scottish Parliamentary Corporate Body, the Presiding Officer is responsible for ensuring that the Parliament functions effectively and has the staff, property and resources it requires to operate. Convening the Parliamentary Bureau, which allocates time and sets the work agenda in the chamber, is another of the roles of the Presiding Officer. Under the Standing Orders of the Parliament the Bureau consists of the Presiding Officer and one representative from each political parties with five or more seats in the Parliament. Amongst the duties of the Bureau are to agree the timetable of business in the chamber, establish the number, remit and membership of parliamentary committees and regulate the passage of legislation (bills) through the Parliament. The Presiding Officer also represents the Scottish Parliament at home and abroad in an official capacity. The debating chamber of the Scottish Parliament has seating arranged in a hemicycle, which reflects the desire to encourage consensus amongst elected members. There are 131 seats in the debating chamber. Of the total 131 seats, 129 are occupied by the Parliament's elected MSPs and 2 are seats for the Scottish Law Officers – the Lord Advocate and the Solicitor General for Scotland, who are not elected members of the Parliament but are members of the Scottish Government. As such the Law Officers may attend and speak in the plenary meetings of the Parliament but, as they are not elected MSPs, cannot vote. Members are able to sit anywhere in the debating chamber, but typically sit in their party groupings. The First Minister, Scottish cabinet ministers and Law officers sit in the front row, in the middle section of the chamber. The largest party in the Parliament sits in the middle of the semicircle, with opposing parties on either side. The Presiding Officer, parliamentary clerks and officials sit opposite members at the front of the debating chamber. In front of the Presiding Officers' desk is the parliamentary mace, which is made from silver and inlaid with gold panned from Scottish rivers and inscribed with the words: Wisdom, Compassion, Justice and Integrity. The words There shall be a Scottish Parliament, which are the first words of the Scotland Act, are inscribed around the head of the mace, which has a formal ceremonial role in the meetings of Parliament, reinforcing the authority of the Parliament in its ability to make laws. Presented to the Scottish Parliament by the Queen upon its official opening in July 1999, the mace is displayed in a glass case suspended from the lid. At the beginning of each sitting in the chamber, the lid of the case is rotated so that the mace is above the glass, to symbolise that a full meeting of the Parliament is taking place. Parliament typically sits Tuesdays, Wednesdays and Thursdays from early January to late June and from early September to mid December, with two-week recesses in April and October. Plenary meetings in the debating chamber usually take place on Wednesday afternoons from 2 pm to 6 pm and on Thursdays from 9:15 am to 6 pm. Chamber debates and committee meetings are open to the public. Entry is free, but booking in advance is recommended due to limited space. Meetings are broadcast on the Parliament's own channel Holyrood.tv and on the BBC's parliamentary channel BBC Parliament. Proceedings are also recorded in text form, in print and online, in the Official Report, which is the substantially verbatim transcript of parliamentary debates. ###Question: Who is responsible for ensuring the Parliament works smoothly? ###Answer: {'answer':'Presiding Officer'}
###Answer the question from the input provided. Please answer from input only. ###Input: However, some computational problems are easier to analyze in terms of more unusual resources. For example, a non-deterministic Turing machine is a computational model that is allowed to branch out to check many different possibilities at once. The non-deterministic Turing machine has very little to do with how we physically want to compute algorithms, but its branching exactly captures many of the mathematical models we want to analyze, so that non-deterministic time is a very important resource in analyzing computational problems. For a precise definition of what it means to solve a problem using a given amount of time and space, a computational model such as the deterministic Turing machine is used. The time required by a deterministic Turing machine M on input x is the total number of state transitions, or steps, the machine makes before it halts and outputs the answer ("yes" or "no"). A Turing machine M is said to operate within time f(n), if the time required by M on each input of length n is at most f(n). A decision problem A can be solved in time f(n) if there exists a Turing machine operating in time f(n) that solves the problem. Since complexity theory is interested in classifying problems based on their difficulty, one defines sets of problems based on some criteria. For instance, the set of problems solvable within time f(n) on a deterministic Turing machine is then denoted by DTIME(f(n)). Analogous definitions can be made for space requirements. Although time and space are the most well-known complexity resources, any complexity measure can be viewed as a computational resource. Complexity measures are very generally defined by the Blum complexity axioms. Other complexity measures used in complexity theory include communication complexity, circuit complexity, and decision tree complexity. The best, worst and average case complexity refer to three different ways of measuring the time complexity (or any other complexity measure) of different inputs of the same size. Since some inputs of size n may be faster to solve than others, we define the following complexities: For example, consider the deterministic sorting algorithm quicksort. This solves the problem of sorting a list of integers that is given as the input. The worst-case is when the input is sorted or sorted in reverse order, and the algorithm takes time O(n2) for this case. If we assume that all possible permutations of the input list are equally likely, the average time taken for sorting is O(n log n). The best case occurs when each pivoting divides the list in half, also needing O(n log n) time. ###Question: What type of Turing machine can be characterized by checking multiple possibilities at the same time? ###Answer: {'answer':'non-deterministic'}
###Answer the question from the input provided. Please answer from input only. ###Input: In the United Kingdom, BBC Radio 5 Live and 5 Live Sports Extra will carry the contest. The BBC will carry its own British English broadcast, with Greg Brady, Darren Fletcher and Rocky Boiman on commentary. In honor of the 50th Super Bowl, the pregame ceremony featured the on-field introduction of 39 of the 43 previous Super Bowl Most Valuable Players. Bart Starr (MVP of Super Bowls I and II) and Chuck Howley (MVP of Super Bowl V) appeared via video, while Peyton Manning (MVP of Super Bowl XLI and current Broncos quarterback) was shown in the locker room preparing for the game. No plans were announced regarding the recognition of Harvey Martin, co-MVP of Super Bowl XII, who died in 2001. Six-time Grammy winner and Academy Award nominee Lady Gaga performed the national anthem, while Academy Award winner Marlee Matlin provided American Sign Language (ASL) translation. In late November 2015, reports surfaced stating that "multiple acts" would perform during the halftime show. On December 3, the league confirmed that the show would be headlined by the British rock group Coldplay. On January 7, 2016, Pepsi confirmed to the Associated Press that Beyoncé, who headlined the Super Bowl XLVII halftime show and collaborated with Coldplay on the single "Hymn for the Weekend", would be making an appearance. Bruno Mars, who headlined the Super Bowl XLVIII halftime show, and Mark Ronson also performed. Denver took the opening kickoff and started out strong with Peyton Manning completing an 18-yard pass to tight end Owen Daniels and a 22-yard throw to receiver Andre Caldwell. A pair of carries by C. J. Anderson moved the ball up 20 yards to the Panthers 14-yard line, but Carolina's defense dug in over the next three plays. First, linebacker Shaq Thompson tackled Ronnie Hillman for a 3-yard loss. Then after an incompletion, Thomas Davis tackled Anderson for a 1-yard gain on third down, forcing Denver to settle for a 3–0 lead on a Brandon McManus 34-yard field goal. The score marked the first time in the entire postseason that Carolina was facing a deficit. ###Question: What BBC radio station will carry the game in the United Kingdom? ###Answer: {'answer':'BBC Radio 5'}
###Answer the question from the input provided. Please answer from input only. ###Input: Both innate and adaptive immunity depend on the ability of the immune system to distinguish between self and non-self molecules. In immunology, self molecules are those components of an organism's body that can be distinguished from foreign substances by the immune system. Conversely, non-self molecules are those recognized as foreign molecules. One class of non-self molecules are called antigens (short for antibody generators) and are defined as substances that bind to specific immune receptors and elicit an immune response. Microorganisms or toxins that successfully enter an organism encounter the cells and mechanisms of the innate immune system. The innate response is usually triggered when microbes are identified by pattern recognition receptors, which recognize components that are conserved among broad groups of microorganisms, or when damaged, injured or stressed cells send out alarm signals, many of which (but not all) are recognized by the same receptors as those that recognize pathogens. Innate immune defenses are non-specific, meaning these systems respond to pathogens in a generic way. This system does not confer long-lasting immunity against a pathogen. The innate immune system is the dominant system of host defense in most organisms. Several barriers protect organisms from infection, including mechanical, chemical, and biological barriers. The waxy cuticle of many leaves, the exoskeleton of insects, the shells and membranes of externally deposited eggs, and skin are examples of mechanical barriers that are the first line of defense against infection. However, as organisms cannot be completely sealed from their environments, other systems act to protect body openings such as the lungs, intestines, and the genitourinary tract. In the lungs, coughing and sneezing mechanically eject pathogens and other irritants from the respiratory tract. The flushing action of tears and urine also mechanically expels pathogens, while mucus secreted by the respiratory and gastrointestinal tract serves to trap and entangle microorganisms. Chemical barriers also protect against infection. The skin and respiratory tract secrete antimicrobial peptides such as the β-defensins. Enzymes such as lysozyme and phospholipase A2 in saliva, tears, and breast milk are also antibacterials. Vaginal secretions serve as a chemical barrier following menarche, when they become slightly acidic, while semen contains defensins and zinc to kill pathogens. In the stomach, gastric acid and proteases serve as powerful chemical defenses against ingested pathogens. Within the genitourinary and gastrointestinal tracts, commensal flora serve as biological barriers by competing with pathogenic bacteria for food and space and, in some cases, by changing the conditions in their environment, such as pH or available iron. This reduces the probability that pathogens will reach sufficient numbers to cause illness. However, since most antibiotics non-specifically target bacteria and do not affect fungi, oral antibiotics can lead to an "overgrowth" of fungi and cause conditions such as a vaginal candidiasis (a yeast infection). There is good evidence that re-introduction of probiotic flora, such as pure cultures of the lactobacilli normally found in unpasteurized yogurt, helps restore a healthy balance of microbial populations in intestinal infections in children and encouraging preliminary data in studies on bacterial gastroenteritis, inflammatory bowel diseases, urinary tract infection and post-surgical infections. ###Question: What part of the innate immune system identifies microbes and triggers immune response? ###Answer: {'answer':'pattern recognition receptors'}
###Answer the question from the input provided. Please answer from input only. ###Input: Luther wrote about the Jews throughout his career, though only a few of his works dealt with them directly. Luther rarely encountered Jews during his life, but his attitudes reflected a theological and cultural tradition which saw Jews as a rejected people guilty of the murder of Christ, and he lived within a local community that had expelled Jews some ninety years earlier. He considered the Jews blasphemers and liars because they rejected the divinity of Jesus, whereas Christians believed Jesus was the Messiah. But Luther believed that all human beings who set themselves against God were equally guilty. As early as 1516, he wrote that many people "are proud with marvelous stupidity when they call the Jews dogs, evildoers, or whatever they like, while they too, and equally, do not realize who or what they are in the sight of God". In 1523, Luther advised kindness toward the Jews in That Jesus Christ was Born a Jew and also aimed to convert them to Christianity. When his efforts at conversion failed, he grew increasingly bitter toward them. In his 2010 book Bonhoeffer: Pastor, Martyr, Prophet, Spy, Christian author Eric Metaxas claimed that Luther's attitude towards Jews "unraveled along with his health." Luther's other major works on the Jews were his 60,000-word treatise Von den Juden und Ihren Lügen (On the Jews and Their Lies), and Vom Schem Hamphoras und vom Geschlecht Christi (On the Holy Name and the Lineage of Christ), both published in 1543, three years before his death. Luther argued that the Jews were no longer the chosen people but "the devil's people", and referred to them with violent, vile language. Citing Deuteronomy 13, wherein Moses commands the killing of idolaters and the burning of their cities and property as an offering to God, Luther called for a "scharfe Barmherzigkeit" ("sharp mercy") against the Jews "to see whether we might save at least a few from the glowing flames." Luther advocated setting synagogues on fire, destroying Jewish prayerbooks, forbidding rabbis from preaching, seizing Jews' property and money, and smashing up their homes, so that these "envenomed worms" would be forced into labour or expelled "for all time". In Robert Michael's view, Luther's words "We are at fault in not slaying them" amounted to a sanction for murder. "God's anger with them is so intense," Luther concluded, "that gentle mercy will only tend to make them worse, while sharp mercy will reform them but little. Therefore, in any case, away with them!" Luther spoke out against the Jews in Saxony, Brandenburg, and Silesia. Josel of Rosheim, the Jewish spokesman who tried to help the Jews of Saxony in 1537, later blamed their plight on "that priest whose name was Martin Luther—may his body and soul be bound up in hell!—who wrote and issued many heretical books in which he said that whoever would help the Jews was doomed to perdition." Josel asked the city of Strasbourg to forbid the sale of Luther's anti-Jewish works: they refused initially, but did so when a Lutheran pastor in Hochfelden used a sermon to urge his parishioners to murder Jews. Luther's influence persisted after his death. Throughout the 1580s, riots led to the expulsion of Jews from several German Lutheran states. Luther was the most widely read author of his generation, and within Germany he acquired the status of a prophet. According to the prevailing view among historians, his anti-Jewish rhetoric contributed significantly to the development of antisemitism in Germany, and in the 1930s and 1940s provided an "ideal underpinning" for the Nazis' attacks on Jews. Reinhold Lewin writes that anybody who "wrote against the Jews for whatever reason believed he had the right to justify himself by triumphantly referring to Luther." According to Michael, just about every anti-Jewish book printed in the Third Reich contained references to and quotations from Luther. Heinrich Himmler wrote admiringly of his writings and sermons on the Jews in 1940. The city of Nuremberg presented a first edition of On the Jews and their Lies to Julius Streicher, editor of the Nazi newspaper Der Stürmer, on his birthday in 1937; the newspaper described it as the most radically anti-Semitic tract ever published. It was publicly exhibited in a glass case at the Nuremberg rallies and quoted in a 54-page explanation of the Aryan Law by Dr. E.H. Schulz and Dr. R. Frercks. On 17 December 1941, seven Protestant regional church confederations issued a statement agreeing with the policy of forcing Jews to wear the yellow badge, "since after his bitter experience Luther had already suggested preventive measures against the Jews and their expulsion from German territory." According to Daniel Goldhagen, Bishop Martin Sasse, a leading Protestant churchman, published a compendium of Luther's writings shortly after Kristallnacht, for which Diarmaid MacCulloch, Professor of the History of the Church in the University of Oxford argued that Luther's writing was a "blueprint." Sasse applauded the burning of the synagogues and the coincidence of the day, writing in the introduction, "On 10 November 1938, on Luther's birthday, the synagogues are burning in Germany." The German people, he urged, ought to heed these words "of the greatest antisemite of his time, the warner of his people against the Jews." ###Question: What did Luther speak out about in Saxony? ###Answer: {'answer':'the Jews'}
###Answer the question from the input provided. Please answer from input only. ###Input: The inverted repeat regions are highly conserved among land plants, and accumulate few mutations. Similar inverted repeats exist in the genomes of cyanobacteria and the other two chloroplast lineages (glaucophyta and rhodophyceæ), suggesting that they predate the chloroplast, though some chloroplast DNAs have since lost or flipped the inverted repeats (making them direct repeats). It is possible that the inverted repeats help stabilize the rest of the chloroplast genome, as chloroplast DNAs which have lost some of the inverted repeat segments tend to get rearranged more. The mechanism for chloroplast DNA (cpDNA) replication has not been conclusively determined, but two main models have been proposed. Scientists have attempted to observe chloroplast replication via electron microscopy since the 1970s. The results of the microscopy experiments led to the idea that chloroplast DNA replicates using a double displacement loop (D-loop). As the D-loop moves through the circular DNA, it adopts a theta intermediary form, also known as a Cairns replication intermediate, and completes replication with a rolling circle mechanism. Transcription starts at specific points of origin. Multiple replication forks open up, allowing replication machinery to transcribe the DNA. As replication continues, the forks grow and eventually converge. The new cpDNA structures separate, creating daughter cpDNA chromosomes. In cpDNA, there are several A → G deamination gradients. DNA becomes susceptible to deamination events when it is single stranded. When replication forks form, the strand not being copied is single stranded, and thus at risk for A → G deamination. Therefore, gradients in deamination indicate that replication forks were most likely present and the direction that they initially opened (the highest gradient is most likely nearest the start site because it was single stranded for the longest amount of time). This mechanism is still the leading theory today; however, a second theory suggests that most cpDNA is actually linear and replicates through homologous recombination. It further contends that only a minority of the genetic material is kept in circular chromosomes while the rest is in branched, linear, or other complex structures. One of competing model for cpDNA replication asserts that most cpDNA is linear and participates in homologous recombination and replication structures similar to bacteriophage T4. It has been established that some plants have linear cpDNA, such as maize, and that more species still contain complex structures that scientists do not yet understand. When the original experiments on cpDNA were performed, scientists did notice linear structures; however, they attributed these linear forms to broken circles. If the branched and complex structures seen in cpDNA experiments are real and not artifacts of concatenated circular DNA or broken circles, then a D-loop mechanism of replication is insufficient to explain how those structures would replicate. At the same time, homologous recombination does not expand the multiple A --> G gradients seen in plastomes. Because of the failure to explain the deamination gradient as well as the numerous plant species that have been shown to have circular cpDNA, the predominant theory continues to hold that most cpDNA is circular and most likely replicates via a D loop mechanism. Endosymbiotic gene transfer is how we know about the lost chloroplasts in many chromalveolate lineages. Even if a chloroplast is eventually lost, the genes it donated to the former host's nucleus persist, providing evidence for the lost chloroplast's existence. For example, while diatoms (a heterokontophyte) now have a red algal derived chloroplast, the presence of many green algal genes in the diatom nucleus provide evidence that the diatom ancestor (probably the ancestor of all chromalveolates too) had a green algal derived chloroplast at some point, which was subsequently replaced by the red chloroplast. ###Question: What shows us lost chloroplasts? ###Answer: {'answer':'Endosymbiotic gene transfer'}
###Answer the question from the input provided. Please answer from input only. ###Input: In another incident, around 1177, he was captured in a raid and held prisoner by his father's former allies, the Tayichi'ud. The Tayichi'ud enslaved Temüjin (reportedly with a cangue, a sort of portable stocks), but with the help of a sympathetic guard, the father of Chilaun (who later became a general of Genghis Khan), he was able to escape from the ger (yurt) in the middle of the night by hiding in a river crevice.[citation needed] It was around this time that Jelme and Bo'orchu, two of Genghis Khan's future generals, joined forces with him. Temüjin's reputation also became widespread after his escape from the Tayichi'ud. At this time, none of the tribal confederations of Mongolia were united politically, and arranged marriages were often used to solidify temporary alliances. Temüjin grew up observing the tough political climate of Mongolia, which included tribal warfare, thievery, raids, corruption, and continual acts of revenge carried out between the various confederations, all compounded by interference from foreign forces such as the Chinese dynasties to the south. Temüjin's mother Hoelun taught him many lessons about the unstable political climate of Mongolia, especially the need for alliances. As previously arranged by his father, Temüjin married Börte of the Onggirat tribe when he was around 16 in order to cement alliances between their respective tribes. Soon after Börte's marriage to Temüjin, she was kidnapped by the Merkits and reportedly given away as a wife. Temüjin rescued her with the help of his friend and future rival, Jamukha, and his protector, Toghrul Khan of the Keraite tribe. She gave birth to a son, Jochi (1185–1226), nine months later, clouding the issue of his parentage. Despite speculation over Jochi, Börte would be Temüjin's only empress, though he did follow tradition by taking several morganatic wives. Börte had three more sons, Chagatai (1187—1241), Ögedei (1189—1241), and Tolui (1190–1232). Genghis Khan also had many other children with his other wives, but they were excluded from the succession. While the names of sons were documented, daughters were not. The names of at least six daughters are known, and while they played significant roles behind the scenes during his lifetime, no documents have survived that definitively provide the number or names of daughters born to the consorts of Genghis Khan. Temüjin began his ascent to power by offering himself as an ally (or, according to other sources, a vassal) to his father's anda (sworn brother or blood brother) Toghrul, who was Khan of the Keraites, and is better known by the Chinese title "Wang Khan", which the Jurchen Jin dynasty granted him in 1197. This relationship was first reinforced when Börte was captured by the Merkits. Temüjin turned to Toghrul for support, and in response, Toghrul offered his vassal 20,000 of his Keraite warriors and suggested that he also involve his childhood friend Jamukha, who had himself become Khan (ruler) of his own tribe, the Jadaran. ###Question: Who captured and held Temüjin prisoner around 1177? ###Answer: {'answer':'the Tayichi'ud'}
###Answer the question from the input provided. Please answer from input only. ###Input: After each election to the Scottish Parliament, at the beginning of each parliamentary session, Parliament elects one MSP to serve as Presiding Officer, the equivalent of the speaker (currently Tricia Marwick), and two MSPs to serve as deputies (currently Elaine Smith and John Scott). The Presiding Officer and deputies are elected by a secret ballot of the 129 MSPs, which is the only secret ballot conducted in the Scottish Parliament. Principally, the role of the Presiding Officer is to chair chamber proceedings and the Scottish Parliamentary Corporate Body. When chairing meetings of the Parliament, the Presiding Officer and his/her deputies must be politically impartial. During debates, the Presiding Officer (or the deputy) is assisted by the parliamentary clerks, who give advice on how to interpret the standing orders that govern the proceedings of meetings. A vote clerk sits in front of the Presiding Officer and operates the electronic voting equipment and chamber clocks. As a member of the Scottish Parliamentary Corporate Body, the Presiding Officer is responsible for ensuring that the Parliament functions effectively and has the staff, property and resources it requires to operate. Convening the Parliamentary Bureau, which allocates time and sets the work agenda in the chamber, is another of the roles of the Presiding Officer. Under the Standing Orders of the Parliament the Bureau consists of the Presiding Officer and one representative from each political parties with five or more seats in the Parliament. Amongst the duties of the Bureau are to agree the timetable of business in the chamber, establish the number, remit and membership of parliamentary committees and regulate the passage of legislation (bills) through the Parliament. The Presiding Officer also represents the Scottish Parliament at home and abroad in an official capacity. The debating chamber of the Scottish Parliament has seating arranged in a hemicycle, which reflects the desire to encourage consensus amongst elected members. There are 131 seats in the debating chamber. Of the total 131 seats, 129 are occupied by the Parliament's elected MSPs and 2 are seats for the Scottish Law Officers – the Lord Advocate and the Solicitor General for Scotland, who are not elected members of the Parliament but are members of the Scottish Government. As such the Law Officers may attend and speak in the plenary meetings of the Parliament but, as they are not elected MSPs, cannot vote. Members are able to sit anywhere in the debating chamber, but typically sit in their party groupings. The First Minister, Scottish cabinet ministers and Law officers sit in the front row, in the middle section of the chamber. The largest party in the Parliament sits in the middle of the semicircle, with opposing parties on either side. The Presiding Officer, parliamentary clerks and officials sit opposite members at the front of the debating chamber. In front of the Presiding Officers' desk is the parliamentary mace, which is made from silver and inlaid with gold panned from Scottish rivers and inscribed with the words: Wisdom, Compassion, Justice and Integrity. The words There shall be a Scottish Parliament, which are the first words of the Scotland Act, are inscribed around the head of the mace, which has a formal ceremonial role in the meetings of Parliament, reinforcing the authority of the Parliament in its ability to make laws. Presented to the Scottish Parliament by the Queen upon its official opening in July 1999, the mace is displayed in a glass case suspended from the lid. At the beginning of each sitting in the chamber, the lid of the case is rotated so that the mace is above the glass, to symbolise that a full meeting of the Parliament is taking place. Parliament typically sits Tuesdays, Wednesdays and Thursdays from early January to late June and from early September to mid December, with two-week recesses in April and October. Plenary meetings in the debating chamber usually take place on Wednesday afternoons from 2 pm to 6 pm and on Thursdays from 9:15 am to 6 pm. Chamber debates and committee meetings are open to the public. Entry is free, but booking in advance is recommended due to limited space. Meetings are broadcast on the Parliament's own channel Holyrood.tv and on the BBC's parliamentary channel BBC Parliament. Proceedings are also recorded in text form, in print and online, in the Official Report, which is the substantially verbatim transcript of parliamentary debates. ###Question: What is the seating arrangement of the debating chamber? ###Answer: {'answer':'hemicycle'}
###Answer the question from the input provided. Please answer from input only. ###Input: In the early 13th century, the Khwarazmian dynasty was governed by Shah Ala ad-Din Muhammad. Genghis Khan saw the potential advantage in Khwarezmia as a commercial trading partner using the Silk Road, and he initially sent a 500-man caravan to establish official trade ties with the empire. However, Inalchuq, the governor of the Khwarezmian city of Otrar, attacked the caravan that came from Mongolia, claiming that the caravan contained spies and therefore was a conspiracy against Khwarezmia. The situation became further complicated because the governor later refused to make repayments for the looting of the caravans and handing over the perpetrators. Genghis Khan then sent again a second group of three ambassadors (two Mongols and a Muslim) to meet the Shah himself instead of the governor Inalchuq. The Shah had all the men shaved and the Muslim beheaded and sent his head back with the two remaining ambassadors. This was seen as an affront and insult to Genghis Khan. Outraged, Genghis Khan planned one of his largest invasion campaigns by organizing together around 100,000 soldiers (10 tumens), his most capable generals and some of his sons. He left a commander and number of troops in China, designated his successors to be his family members and likely appointed Ögedei to be his immediate successor and then went out to Khwarezmia. The Mongol army under Genghis Khan, generals and his sons crossed the Tien Shan mountains by entering the area controlled by the Khwarezmian Empire. After compiling intelligence from many sources Genghis Khan carefully prepared his army, which was divided into three groups. His son Jochi led the first division into the northeast of Khwarezmia. The second division under Jebe marched secretly to the southeast part of Khwarzemia to form, with the first division, a pincer attack on Samarkand. The third division under Genghis Khan and Tolui marched to the northwest and attacked Khwarzemia from that direction. The Shah's army was split by diverse internecine feuds and by the Shah's decision to divide his army into small groups concentrated in various cities. This fragmentation was decisive in Khwarezmia's defeats, as it allowed the Mongols, although exhausted from the long journey, to immediately set about defeating small fractions of the Khwarzemi forces instead of facing a unified defense. The Mongol army quickly seized the town of Otrar, relying on superior strategy and tactics. Genghis Khan ordered the wholesale massacre of many of the civilians, enslaved the rest of the population and executed Inalchuq by pouring molten silver into his ears and eyes, as retribution for his actions. Near the end of the battle the Shah fled rather than surrender. Genghis Khan ordered Subutai and Jebe to hunt him down, giving them 20,000 men and two years to do this. The Shah died under mysterious circumstances on a small island within his empire. The Mongols' conquest, even by their own standards, was brutal. After the capital Samarkand fell, the capital was moved to Bukhara by the remaining men, while Genghis Khan ordered two of his generals and their forces to completely destroy the remnants of the Khwarezmid Empire, including not only royal buildings, but entire towns, populations, and even vast swaths of farmland. According to legend, Genghis Khan even went so far as to divert a river through the Khwarezmid emperor's birthplace, erasing it from the map.[citation needed] The Mongols attacked Samarkand using captured enemies as body shields. After several days only a few remaining soldiers, loyal supporters of the Shah, held out in the citadel. After the fortress fell, Genghis supposedly reneged on his surrender terms and executed every soldier that had taken arms against him at Samarkand. The people of Samarkand were ordered to evacuate and assemble in a plain outside the city, where they were killed and pyramids of severed heads raised as a symbol of victory. Ata-Malik Juvayni, a high official in the service of the Mongol empire, wrote that in Termez, on the Oxus, "all the people, both men and women, were driven out onto the plain, and divided in accordance with their usual custom, then they were all slain". ###Question: Who was the leader of the Khwarezmian dynasty in the early 1200s? ###Answer: {'answer':'Shah Ala ad-Din Muhammad'}
###Answer the question from the input provided. Please answer from input only. ###Input: The university operates 12 research institutes and 113 research centers on campus. Among these are the Oriental Institute—a museum and research center for Near Eastern studies owned and operated by the university—and a number of National Resource Centers, including the Center for Middle Eastern Studies. Chicago also operates or is affiliated with a number of research institutions apart from the university proper. The university partially manages Argonne National Laboratory, part of the United States Department of Energy's national laboratory system, and has a joint stake in Fermilab, a nearby particle physics laboratory, as well as a stake in the Apache Point Observatory in Sunspot, New Mexico. Faculty and students at the adjacent Toyota Technological Institute at Chicago collaborate with the university, In 2013, the university announced that it was affiliating the formerly independent Marine Biological Laboratory in Woods Hole, Mass. Although formally unrelated, the National Opinion Research Center is located on Chicago's campus. The University of Chicago has been the site of some important experiments and academic movements. In economics, the university has played an important role in shaping ideas about the free market and is the namesake of the Chicago school of economics, the school of economic thought supported by Milton Friedman and other economists. The university's sociology department was the first independent sociology department in the United States and gave birth to the Chicago school of sociology. In physics, the university was the site of the Chicago Pile-1 (the first self-sustained man-made nuclear reaction, part of the Manhattan Project), of Robert Millikan's oil-drop experiment that calculated the charge of the electron, and of the development of radiocarbon dating by Willard F. Libby in 1947. The chemical experiment that tested how life originated on early Earth, the Miller–Urey experiment, was conducted at the university. REM sleep was discovered at the university in 1953 by Nathaniel Kleitman and Eugene Aserinsky. The UChicago Arts program joins academic departments and programs in the Division of the Humanities and the College, as well as professional organizations including the Court Theatre, the Oriental Institute, the Smart Museum of Art, the Renaissance Society, University of Chicago Presents, and student arts organizations. The university has an artist-in-residence program and scholars in performance studies, contemporary art criticism, and film history. It has offered a doctorate in music composition since 1933 and in Cinema & Media studies since 2000, a master of fine arts in visual arts (early 1970s), and a master of arts in the humanities with a creative writing track (2000). It has bachelor's degree programs in visual arts, music, and art history, and, more recently, Cinema & Media studies (1996) and theater & performance studies (2002). The College's general education core includes a “dramatic, music, and visual arts” requirement, requiring students to study the history of the arts, stage desire, or begin working with sculpture. Several thousand major and non-major undergraduates enroll annually in creative and performing arts classes. UChicago is often considered the birthplace of improvisational comedy as the Compass Players student comedy troupe evolved into The Second City improv theater troupe in 1959. The Reva and David Logan Center for the Arts opened in October 2012, five years after a $35 million gift from alumnus David Logan and his wife Reva. The center includes spaces for exhibitions, performances, classes, and media production. The Logan Center was designed by Tod Williams and Billie Tsien. This building is actually entirely glass. The brick is a facade designed to keep the glass safe from the wind. The architects later removed sections of the bricks when pressure arose in the form of complaints that the views of the city were blocked. In the fall quarter of 2014, the University of Chicago enrolled 5,792 students in the College, 3,468 students in its four graduate divisions, 5,984 students in its professional schools, and 15,244 students overall. In the 2012 Spring Quarter, international students comprised almost 19% of the overall study body, over 26% of students were domestic ethnic minorities, and about 44% of enrolled students were female. Admissions to the University of Chicago is highly selective. The middle 50% band of SAT scores for the undergraduate class of 2015, excluding the writing section, was 1420–1530, the average MCAT score for entering students in the Pritzker School of Medicine in 2011 was 36, and the median LSAT score for entering students in the Law School in 2011 was 171. In 2015, the College of the University of Chicago had an acceptance rate of 7.8% for the Class of 2019, the lowest in the college's history. The Maroons compete in the NCAA's Division III as members of the University Athletic Association (UAA). The university was a founding member of the Big Ten Conference and participated in the NCAA Division I Men's Basketball and Football and was a regular participant in the Men's Basketball tournament. In 1935, the University of Chicago reached the Sweet Sixteen. In 1935, Chicago Maroons football player Jay Berwanger became the first winner of the Heisman Trophy. However, the university chose to withdraw from the conference in 1946 after University President Robert Maynard Hutchins de-emphasized varsity athletics in 1939 and dropped football. (In 1969, Chicago reinstated football as a Division III team, resuming playing its home games at the new Stagg Field.) ###Question: Since what year did the university offer a doctorate in music composition? ###Answer: {'answer':'1933'}
###Answer the question from the input provided. Please answer from input only. ###Input: NE1fm launched on 8 June 2007, the first full-time community radio station in the area. Newcastle Student Radio is run by students from both of the city's universities, broadcasting from Newcastle University's student's union building during term time. Radio Tyneside has been the voluntary hospital radio service for most hospitals across Newcastle and Gateshead since 1951, broadcasting on Hospedia and online. The city also has a Radio Lollipop station based at the Great North Children's Hospital in the Newcastle Royal Victoria Infirmary. Charles Avison, the leading British composer of concertos in the 18th century, was born in Newcastle upon Tyne in 1709 and died there in 1770. Basil Hume, Archbishop of Westminster, was born in the city in 1923. Vice Admiral Cuthbert Collingwood, 1st Baron Collingwood, was born in the city. Ironmaster, metallurgist, and member of parliament Isaac Lowthian Bell was born in the city in 1816. Other notable people born in or associated with Newcastle include: engineer and industrialist Lord Armstrong, engineer and father of the modern steam railways George Stephenson, his son, also an engineer, Robert Stephenson, engineer and inventor of the steam turbine Sir Charles Parsons, inventor of the incandescent light bulb Sir Joseph Swan, modernist poet Basil Bunting, and Lord Chief Justice Peter Taylor. Portuguese writer Eça de Queiroz was a diplomat in Newcastle from late 1874 until April 1879—his most productive literary period. Former Prime Minister of Thailand Abhisit Vejjajiva, was born in the city. Musicians Eric Burdon, Sting, Mark Knopfler, Alan Hull, Cheryl Cole and Neil Tennant lived in Newcastle. Hank Marvin and Bruce Welch were both former pupils of Rutherford Grammar School, actors Charlie Hunnam and James Scott, entertainers Ant and Dec and international footballers Michael Carrick and Alan Shearer were born in Newcastle. Multiple circumnavigator David Scott Cowper, Nobel Prize winning physicist Peter Higgs, and former WWE NXT champion Neville were born in the city. John Dunn, inventor of keyed Northumbrian smallpipes, the most characteristic musical instrument in the region, lived and worked in the city. The Victoria and Albert Museum (often abbreviated as the V&A), London, is the world's largest museum of decorative arts and design, housing a permanent collection of over 4.5 million objects. It was founded in 1852 and named after Queen Victoria and Prince Albert. The V&A is located in the Brompton district of the Royal Borough of Kensington and Chelsea, in an area that has become known as "Albertopolis" because of its association with Prince Albert, the Albert Memorial and the major cultural institutions with which he was associated. These include the Natural History Museum, the Science Museum and the Royal Albert Hall. The museum is a non-departmental public body sponsored by the Department for Culture, Media and Sport. Like other national British museums, entrance to the museum has been free since 2001. The V&A covers 12.5 acres (51,000 m2) and 145 galleries. Its collection spans 5,000 years of art, from ancient times to the present day, from the cultures of Europe, North America, Asia and North Africa. The holdings of ceramics, glass, textiles, costumes, silver, ironwork, jewellery, furniture, medieval objects, sculpture, prints and printmaking, drawings and photographs are among the largest and most comprehensive in the world. The museum owns the world's largest collection of post-classical sculpture, with the holdings of Italian Renaissance items being the largest outside Italy. The departments of Asia include art from South Asia, China, Japan, Korea and the Islamic world. The East Asian collections are among the best in Europe, with particular strengths in ceramics and metalwork, while the Islamic collection is amongst the largest in the Western world. Overall, it is one of the largest museums in the world. ###Question: What year did Charles Avison die in Newcastle? ###Answer: {'answer':'1770'}
###Answer the question from the input provided. Please answer from input only. ###Input: The Yuan dynasty is considered both a successor to the Mongol Empire and an imperial Chinese dynasty. It was the khanate ruled by the successors of Möngke Khan after the division of the Mongol Empire. In official Chinese histories, the Yuan dynasty bore the Mandate of Heaven, following the Song dynasty and preceding the Ming dynasty. The dynasty was established by Kublai Khan, yet he placed his grandfather Genghis Khan on the imperial records as the official founder of the dynasty as Taizu.[b] In the Proclamation of the Dynastic Name (《建國號詔》), Kublai announced the name of the new dynasty as Great Yuan and claimed the succession of former Chinese dynasties from the Three Sovereigns and Five Emperors to the Tang dynasty. In 1271, Kublai Khan imposed the name Great Yuan (Chinese: 大元; pinyin: Dà Yuán; Wade–Giles: Ta-Yüan), establishing the Yuan dynasty. "Dà Yuán" (大元) is from the sentence "大哉乾元" (dà zai Qián Yuán / "Great is Qián, the Primal") in the Commentaries on the Classic of Changes (I Ching) section regarding Qián (乾). The counterpart in Mongolian language was Dai Ön Ulus, also rendered as Ikh Yuan Üls or Yekhe Yuan Ulus. In Mongolian, Dai Ön (Great Yuan) is often used in conjunction with the "Yeke Mongghul Ulus" (lit. "Great Mongol State"), resulting in Dai Ön Yeke Mongghul Ulus (Mongolian script: ), meaning "Great Yuan Great Mongol State". The Yuan dynasty is also known as the "Mongol dynasty" or "Mongol Dynasty of China", similar to the names "Manchu dynasty" or "Manchu Dynasty of China" for the Qing dynasty. Furthermore, the Yuan is sometimes known as the "Empire of the Great Khan" or "Khanate of the Great Khan", which particularly appeared on some Yuan maps, since Yuan emperors held the nominal title of Great Khan. Nevertheless, both terms can also refer to the khanate within the Mongol Empire directly ruled by Great Khans before the actual establishment of the Yuan dynasty by Kublai Khan in 1271. Genghis Khan united the Mongol and Turkic tribes of the steppes and became Great Khan in 1206. He and his successors expanded the Mongol empire across Asia. Under the reign of Genghis' third son, Ögedei Khan, the Mongols destroyed the weakened Jin dynasty in 1234, conquering most of northern China. Ögedei offered his nephew Kublai a position in Xingzhou, Hebei. Kublai was unable to read Chinese but had several Han Chinese teachers attached to him since his early years by his mother Sorghaghtani. He sought the counsel of Chinese Buddhist and Confucian advisers. Möngke Khan succeeded Ögedei's son, Güyük, as Great Khan in 1251. He granted his brother Kublai control over Mongol held territories in China. Kublai built schools for Confucian scholars, issued paper money, revived Chinese rituals, and endorsed policies that stimulated agricultural and commercial growth. He adopted as his capital city Kaiping in Inner Mongolia, later renamed Shangdu. Many Han Chinese and Khitan defected to the Mongols to fight against the Jin. Two Han Chinese leaders, Shi Tianze, Liu Heima (劉黑馬, Liu Ni), and the Khitan Xiao Zhala (蕭札剌) defected and commanded the 3 Tumens in the Mongol army. Liu Heima and Shi Tianze served Ogödei Khan. Liu Heima and Shi Tianxiang led armies against Western Xia for the Mongols. There were 4 Han Tumens and 3 Khitan Tumens, with each Tumen consisting of 10,000 troops. The three Khitan Generals Shimobeidier (石抹孛迭兒), Tabuyir (塔不已兒) and Xiaozhacizhizizhongxi (蕭札刺之子重喜) commanded the three Khitan Tumens and the four Han Generals Zhang Rou, Yan Shi, Shi Tianze, and Liu Heima commanded the four Han tumens under Ogödei Khan. Shi Tianze was a Han Chinese who lived in the Jin dynasty. Interethnic marriage between Han and Jurchen became common at this time. His father was Shi Bingzhi (史秉直, Shih Ping-chih). Shi Bingzhi was married to a Jurchen woman (surname Na-ho) and a Han Chinese woman (surname Chang); it is unknown which of them was Shi Tianze's mother. Shi Tianze was married to two Jurchen women, a Han Chinese woman, and a Korean woman, and his son Shi Gang was born to one of his Jurchen wives. The surnames of his Jurchen wives were Mo-nien and Na-ho; the surname of his Korean wife was Li; and the surname of his Han Chinese wife was Shi. Shi Tianze defected to Mongol forces upon their invasion of the Jin dynasty. His son Shi Gang married a Kerait woman; the Kerait were Mongolified Turkic people and were considered part of the "Mongol nation". Shi Tianze (Shih T'ien-tse), Zhang Rou (Chang Jou, 張柔), and Yan Shi (Yen Shih, 嚴實) and other high ranking Chinese who served in the Jin dynasty and defected to the Mongols helped build the structure for the administration of the new state. Chagaan (Tsagaan) and Zhang Rou jointly launched an attack on the Song dynasty ordered by Töregene Khatun. ###Question: What non-Chinese empire did the Yuan dynasty succeed? ###Answer: {'answer':'Mongol Empire'}
###Answer the question from the input provided. Please answer from input only. ###Input: In the 1970s, the city was the subject of a song, "Walking Into Fresno", written by Hall Of Fame guitarist Bill Aken and recorded by Bob Gallion of the world-famous "WWVA Jamboree" radio and television show in Wheeling, West Virginia. Aken, adopted by Mexican movie actress Lupe Mayorga, grew up in the neighboring town of Madera and his song chronicled the hardships faced by the migrant farm workers he saw as a child. Aken also made his first TV appearance playing guitar on the old country-western show at The Fresno Barn. Fresno has three large public parks, two in the city limits and one in county land to the southwest. Woodward Park, which features the Shinzen Japanese Gardens, numerous picnic areas and several miles of trails, is in North Fresno and is adjacent to the San Joaquin River Parkway. Roeding Park, near Downtown Fresno, is home to the Fresno Chaffee Zoo, and Rotary Storyland and Playland. Kearney Park is the largest of the Fresno region's park system and is home to historic Kearney Mansion and plays host to the annual Civil War Revisited, the largest reenactment of the Civil War in the west coast of the U.S. Between the 1880s and World War II, Downtown Fresno flourished, filled with electric Street Cars, and contained some of the San Joaquin Valley's most beautiful architectural buildings. Among them, the original Fresno County Courthouse (demolished), the Fresno Carnegie Public Library (demolished), the Fresno Water Tower, the Bank of Italy Building, the Pacific Southwest Building, the San Joaquin Light & Power Building (currently known as the Grand 1401), and the Hughes Hotel (burned down), to name a few. Fulton Street in Downtown Fresno was Fresno's main financial and commercial district before being converted into one of the nation's first pedestrian malls in 1964. Renamed the Fulton Mall, the area contains the densest collection of historic buildings in Fresno. While the Fulton Mall corridor has suffered a sharp decline from its heyday, the Mall includes some of the finest public art pieces in the country, including the only Pierre-Auguste Renoir piece in the world that one can walk up to and touch. Current plans call for the reopening of the Fulton Mall to automobile traffic. The public art pieces will be restored and placed near their current locations and will feature wide sidewalks (up to 28' on the east side of the street) to continue with the pedestrian friendly environment of the district. The neighborhood of Sunnyside is on Fresno's far southeast side, bounded by Chestnut Avenue to the West. Its major thoroughfares are Kings Canyon Avenue and Clovis Avenue. Although parts of Sunnyside are within the City of Fresno, much of the neighborhood is a "county island" within Fresno County. Largely developed in the 1950s through the 1970s, it has recently experienced a surge in new home construction. It is also the home of the Sunnyside Country Club, which maintains a golf course designed by William P. Bell. ###Question: Where is the neighborhood of Sunnyside located in Fresno? ###Answer: {'answer':'Fresno's far southeast side'}
###Answer the question from the input provided. Please answer from input only. ###Input: In contrast, during wake periods differentiated effector cells, such as cytotoxic natural killer cells and CTLs (cytotoxic T lymphocytes), peak in order to elicit an effective response against any intruding pathogens. As well during awake active times, anti-inflammatory molecules, such as cortisol and catecholamines, peak. There are two theories as to why the pro-inflammatory state is reserved for sleep time. First, inflammation would cause serious cognitive and physical impairments if it were to occur during wake times. Second, inflammation may occur during sleep times due to the presence of melatonin. Inflammation causes a great deal of oxidative stress and the presence of melatonin during sleep times could actively counteract free radical production during this time. When a T-cell encounters a foreign pathogen, it extends a vitamin D receptor. This is essentially a signaling device that allows the T-cell to bind to the active form of vitamin D, the steroid hormone calcitriol. T-cells have a symbiotic relationship with vitamin D. Not only does the T-cell extend a vitamin D receptor, in essence asking to bind to the steroid hormone version of vitamin D, calcitriol, but the T-cell expresses the gene CYP27B1, which is the gene responsible for converting the pre-hormone version of vitamin D, calcidiol into the steroid hormone version, calcitriol. Only after binding to calcitriol can T-cells perform their intended function. Other immune system cells that are known to express CYP27B1 and thus activate vitamin D calcidiol, are dendritic cells, keratinocytes and macrophages. Pattern recognition receptors are proteins used by nearly all organisms to identify molecules associated with pathogens. Antimicrobial peptides called defensins are an evolutionarily conserved component of the innate immune response found in all animals and plants, and represent the main form of invertebrate systemic immunity. The complement system and phagocytic cells are also used by most forms of invertebrate life. Ribonucleases and the RNA interference pathway are conserved across all eukaryotes, and are thought to play a role in the immune response to viruses. Evolution of the adaptive immune system occurred in an ancestor of the jawed vertebrates. Many of the classical molecules of the adaptive immune system (e.g., immunoglobulins and T cell receptors) exist only in jawed vertebrates. However, a distinct lymphocyte-derived molecule has been discovered in primitive jawless vertebrates, such as the lamprey and hagfish. These animals possess a large array of molecules called Variable lymphocyte receptors (VLRs) that, like the antigen receptors of jawed vertebrates, are produced from only a small number (one or two) of genes. These molecules are believed to bind pathogenic antigens in a similar way to antibodies, and with the same degree of specificity. It is likely that a multicomponent, adaptive immune system arose with the first vertebrates, as invertebrates do not generate lymphocytes or an antibody-based humoral response. Many species, however, utilize mechanisms that appear to be precursors of these aspects of vertebrate immunity. Immune systems appear even in the structurally most simple forms of life, with bacteria using a unique defense mechanism, called the restriction modification system to protect themselves from viral pathogens, called bacteriophages. Prokaryotes also possess acquired immunity, through a system that uses CRISPR sequences to retain fragments of the genomes of phage that they have come into contact with in the past, which allows them to block virus replication through a form of RNA interference. Offensive elements of the immune systems are also present in unicellular eukaryotes, but studies of their roles in defense are few. ###Question: What are the proteins that organisms use to identify molecules associated with pathogens? ###Answer: {'answer':'Pattern recognition receptors'}
###Answer the question from the input provided. Please answer from input only. ###Input: The following table gives the largest known primes of the mentioned types. Some of these primes have been found using distributed computing. In 2009, the Great Internet Mersenne Prime Search project was awarded a US$100,000 prize for first discovering a prime with at least 10 million digits. The Electronic Frontier Foundation also offers $150,000 and $250,000 for primes with at least 100 million digits and 1 billion digits, respectively. Some of the largest primes not known to have any particular form (that is, no simple formula such as that of Mersenne primes) have been found by taking a piece of semi-random binary data, converting it to a number n, multiplying it by 256k for some positive integer k, and searching for possible primes within the interval [256kn + 1, 256k(n + 1) − 1].[citation needed] are prime for any natural number n. Here represents the floor function, i.e., largest integer not greater than the number in question. The latter formula can be shown using Bertrand's postulate (proven first by Chebyshev), which states that there always exists at least one prime number p with n < p < 2n − 2, for any natural number n > 3. However, computing A or μ requires the knowledge of infinitely many primes to begin with. Another formula is based on Wilson's theorem and generates the number 2 many times and all other primes exactly once. can have infinitely many primes only when a and q are coprime, i.e., their greatest common divisor is one. If this necessary condition is satisfied, Dirichlet's theorem on arithmetic progressions asserts that the progression contains infinitely many primes. The picture below illustrates this with q = 9: the numbers are "wrapped around" as soon as a multiple of 9 is passed. Primes are highlighted in red. The rows (=progressions) starting with a = 3, 6, or 9 contain at most one prime number. In all other rows (a = 1, 2, 4, 5, 7, and 8) there are infinitely many prime numbers. What is more, the primes are distributed equally among those rows in the long run—the density of all primes congruent a modulo 9 is 1/6. The zeta function is closely related to prime numbers. For example, the aforementioned fact that there are infinitely many primes can also be seen using the zeta function: if there were only finitely many primes then ζ(1) would have a finite value. However, the harmonic series 1 + 1/2 + 1/3 + 1/4 + ... diverges (i.e., exceeds any given number), so there must be infinitely many primes. Another example of the richness of the zeta function and a glimpse of modern algebraic number theory is the following identity (Basel problem), due to Euler, The unproven Riemann hypothesis, dating from 1859, states that except for s = −2, −4, ..., all zeroes of the ζ-function have real part equal to 1/2. The connection to prime numbers is that it essentially says that the primes are as regularly distributed as possible.[clarification needed] From a physical viewpoint, it roughly states that the irregularity in the distribution of primes only comes from random noise. From a mathematical viewpoint, it roughly states that the asymptotic distribution of primes (about x/log x of numbers less than x are primes, the prime number theorem) also holds for much shorter intervals of length about the square root of x (for intervals near x). This hypothesis is generally believed to be correct. In particular, the simplest assumption is that primes should have no significant irregularities without good reason. ###Question: What is the name of one type of computing method that is used to find prime numbers? ###Answer: {'answer':'distributed computing'}
###Answer the question from the input provided. Please answer from input only. ###Input: When suffering from sleep deprivation, active immunizations may have a diminished effect and may result in lower antibody production, and a lower immune response, than would be noted in a well-rested individual. Additionally, proteins such as NFIL3, which have been shown to be closely intertwined with both T-cell differentiation and our circadian rhythms, can be affected through the disturbance of natural light and dark cycles through instances of sleep deprivation, shift work, etc. As a result, these disruptions can lead to an increase in chronic conditions such as heart disease, chronic pain, and asthma. It is conjectured that a progressive decline in hormone levels with age is partially responsible for weakened immune responses in aging individuals. Conversely, some hormones are regulated by the immune system, notably thyroid hormone activity. The age-related decline in immune function is also related to decreasing vitamin D levels in the elderly. As people age, two things happen that negatively affect their vitamin D levels. First, they stay indoors more due to decreased activity levels. This means that they get less sun and therefore produce less cholecalciferol via UVB radiation. Second, as a person ages the skin becomes less adept at producing vitamin D. The main response of the immune system to tumors is to destroy the abnormal cells using killer T cells, sometimes with the assistance of helper T cells. Tumor antigens are presented on MHC class I molecules in a similar way to viral antigens. This allows killer T cells to recognize the tumor cell as abnormal. NK cells also kill tumorous cells in a similar way, especially if the tumor cells have fewer MHC class I molecules on their surface than normal; this is a common phenomenon with tumors. Sometimes antibodies are generated against tumor cells allowing for their destruction by the complement system. Unlike animals, plants lack phagocytic cells, but many plant immune responses involve systemic chemical signals that are sent through a plant. Individual plant cells respond to molecules associated with pathogens known as Pathogen-associated molecular patterns or PAMPs. When a part of a plant becomes infected, the plant produces a localized hypersensitive response, whereby cells at the site of infection undergo rapid apoptosis to prevent the spread of the disease to other parts of the plant. Systemic acquired resistance (SAR) is a type of defensive response used by plants that renders the entire plant resistant to a particular infectious agent. RNA silencing mechanisms are particularly important in this systemic response as they can block virus replication. Overactive immune responses comprise the other end of immune dysfunction, particularly the autoimmune disorders. Here, the immune system fails to properly distinguish between self and non-self, and attacks part of the body. Under normal circumstances, many T cells and antibodies react with "self" peptides. One of the functions of specialized cells (located in the thymus and bone marrow) is to present young lymphocytes with self antigens produced throughout the body and to eliminate those cells that recognize self-antigens, preventing autoimmunity. ###Question: What is partially responsible for weakened immune response in older individuals? ###Answer: {'answer':'decline in hormone levels with age'}
###Answer the question from the input provided. Please answer from input only. ###Input: Much of the work of the Scottish Parliament is done in committee. The role of committees is stronger in the Scottish Parliament than in other parliamentary systems, partly as a means of strengthening the role of backbenchers in their scrutiny of the government and partly to compensate for the fact that there is no revising chamber. The principal role of committees in the Scottish Parliament is to take evidence from witnesses, conduct inquiries and scrutinise legislation. Committee meetings take place on Tuesday, Wednesday and Thursday morning when Parliament is sitting. Committees can also meet at other locations throughout Scotland. Committees comprise a small number of MSPs, with membership reflecting the balance of parties across Parliament. There are different committees with their functions set out in different ways. Mandatory Committees are committees which are set down under the Scottish Parliament's standing orders, which govern their remits and proceedings. The current Mandatory Committees in the fourth Session of the Scottish Parliament are: Public Audit; Equal Opportunities; European and External Relations; Finance; Public Petitions; Standards, Procedures and Public Appointments; and Delegated Powers and Law Reform. Subject Committees are established at the beginning of each parliamentary session, and again the members on each committee reflect the balance of parties across Parliament. Typically each committee corresponds with one (or more) of the departments (or ministries) of the Scottish Government. The current Subject Committees in the fourth Session are: Economy, Energy and Tourism; Education and Culture; Health and Sport; Justice; Local Government and Regeneration; Rural Affairs, Climate Change and Environment; Welfare Reform; and Infrastructure and Capital Investment. A further type of committee is normally set up to scrutinise private bills submitted to the Scottish Parliament by an outside party or promoter who is not a member of the Scottish Parliament or Scottish Government. Private bills normally relate to large-scale development projects such as infrastructure projects that require the use of land or property. Private Bill Committees have been set up to consider legislation on issues such as the development of the Edinburgh Tram Network, the Glasgow Airport Rail Link, the Airdrie-Bathgate Rail Link and extensions to the National Gallery of Scotland. The Scotland Act 1998, which was passed by the Parliament of the United Kingdom and given royal assent by Queen Elizabeth II on 19 November 1998, governs the functions and role of the Scottish Parliament and delimits its legislative competence. The Scotland Act 2012 extends the devolved competencies. For the purposes of parliamentary sovereignty, the Parliament of the United Kingdom at Westminster continues to constitute the supreme legislature of Scotland. However, under the terms of the Scotland Act, Westminster agreed to devolve some of its responsibilities over Scottish domestic policy to the Scottish Parliament. Such "devolved matters" include education, health, agriculture and justice. The Scotland Act enabled the Scottish Parliament to pass primary legislation on these issues. A degree of domestic authority, and all foreign policy, remain with the UK Parliament in Westminster. The Scottish Parliament has the power to pass laws and has limited tax-varying capability. Another of the roles of the Parliament is to hold the Scottish Government to account. ###Question: What is set up to scrutinize private bills submitted by party outsiders? ###Answer: {'answer':'type of committee'}
###Answer the question from the input provided. Please answer from input only. ###Input: The working fluid in a Rankine cycle can operate as a closed loop system, where the working fluid is recycled continuously, or may be an "open loop" system, where the exhaust steam is directly released to the atmosphere, and a separate source of water feeding the boiler is supplied. Normally water is the fluid of choice due to its favourable properties, such as non-toxic and unreactive chemistry, abundance, low cost, and its thermodynamic properties. Mercury is the working fluid in the mercury vapor turbine. Low boiling hydrocarbons can be used in a binary cycle. The efficiency of a Rankine cycle is usually limited by the working fluid. Without the pressure reaching supercritical levels for the working fluid, the temperature range the cycle can operate over is quite small; in steam turbines, turbine entry temperatures are typically 565 °C (the creep limit of stainless steel) and condenser temperatures are around 30 °C. This gives a theoretical Carnot efficiency of about 63% compared with an actual efficiency of 42% for a modern coal-fired power station. This low turbine entry temperature (compared with a gas turbine) is why the Rankine cycle is often used as a bottoming cycle in combined-cycle gas turbine power stations.[citation needed] Steam engines can be said to have been the moving force behind the Industrial Revolution and saw widespread commercial use driving machinery in factories, mills and mines; powering pumping stations; and propelling transport appliances such as railway locomotives, ships, steamboats and road vehicles. Their use in agriculture led to an increase in the land available for cultivation. There have at one time or another been steam-powered farm tractors, motorcycles (without much success) and even automobiles as the Stanley Steamer. Trevithick continued his own experiments using a trio of locomotives, concluding with the Catch Me Who Can in 1808. Only four years later, the successful twin-cylinder locomotive Salamanca by Matthew Murray was used by the edge railed rack and pinion Middleton Railway. In 1825 George Stephenson built the Locomotion for the Stockton and Darlington Railway. This was the first public steam railway in the world and then in 1829, he built The Rocket which was entered in and won the Rainhill Trials. The Liverpool and Manchester Railway opened in 1830 making exclusive use of steam power for both passenger and freight trains. A method to lessen the magnitude of this heating and cooling was invented in 1804 by British engineer Arthur Woolf, who patented his Woolf high-pressure compound engine in 1805. In the compound engine, high-pressure steam from the boiler expands in a high-pressure (HP) cylinder and then enters one or more subsequent lower-pressure (LP) cylinders. The complete expansion of the steam now occurs across multiple cylinders and as less expansion now occurs in each cylinder less heat is lost by the steam in each. This reduces the magnitude of cylinder heating and cooling, increasing the efficiency of the engine. By staging the expansion in multiple cylinders, torque variability can be reduced. To derive equal work from lower-pressure steam requires a larger cylinder volume as this steam occupies a greater volume. Therefore, the bore, and often the stroke, are increased in low-pressure cylinders resulting in larger cylinders. ###Question: What devices have been credited as the moving force of the Industrial Revolution? ###Answer: {'answer':'Steam engines'}
###Answer the question from the input provided. Please answer from input only. ###Input: An Islamist movement influenced by Salafism and the jihad in Afghanistan, as well as the Muslim Brotherhood, was the FIS or Front Islamique de Salut (the Islamic Salvation Front) in Algeria. Founded as a broad Islamist coalition in 1989 it was led by Abbassi Madani, and a charismatic Islamist young preacher, Ali Belhadj. Taking advantage of economic failure and unpopular social liberalization and secularization by the ruling leftist-nationalist FLN government, it used its preaching to advocate the establishment of a legal system following Sharia law, economic liberalization and development program, education in Arabic rather than French, and gender segregation, with women staying home to alleviate the high rate of unemployment among young Algerian men. The FIS won sweeping victories in local elections and it was going to win national elections in 1991 when voting was canceled by a military coup d'état. In Afghanistan, the mujahideen's victory against the Soviet Union in the 1980s did not lead to justice and prosperity, due to a vicious and destructive civil war between political and tribal warlords, making Afghanistan one of the poorest countries on earth. In 1992, the Democratic Republic of Afghanistan ruled by communist forces collapsed, and democratic Islamist elements of mujahdeen founded the Islamic State of Afghanistan. In 1996, a more conservative and anti-democratic Islamist movement known as the Taliban rose to power, defeated most of the warlords and took over roughly 80% of Afghanistan. The Taliban were spawned by the thousands of madrasahs the Deobandi movement established for impoverished Afghan refugees and supported by governmental and religious groups in neighboring Pakistan. The Taliban differed from other Islamist movements to the point where they might be more properly described as Islamic fundamentalist or neofundamentalist, interested in spreading "an idealized and systematized version of conservative tribal village customs" under the label of Sharia to an entire country. Their ideology was also described as being influenced by Wahhabism, and the extremist jihadism of their guest Osama bin Laden. In July 1977, General Zia-ul-Haq overthrew Prime Minister Zulfiqar Ali Bhutto's regime in Pakistan. Ali Bhutto, a leftist in democratic competition with Islamists, had announced banning alcohol and nightclubs within six months, shortly before he was overthrown. Zia-ul-Haq was much more committed to Islamism, and "Islamization" or implementation of Islamic law, became a cornerstone of his eleven-year military dictatorship and Islamism became his "official state ideology". Zia ul Haq was an admirer of Mawdudi and Mawdudi's party Jamaat-e-Islami became the "regime's ideological and political arm". In Pakistan this Islamization from above was "probably" more complete "than under any other regime except those in Iran and Sudan," but Zia-ul-Haq was also criticized by many Islamists for imposing "symbols" rather than substance, and using Islamization to legitimize his means of seizing power. Unlike neighboring Iran, Zia-ul-Haq's policies were intended to "avoid revolutionary excess", and not to strain relations with his American and Persian Gulf state allies. Zia-ul-Haq was killed in 1988 but Islamization remains an important element in Pakistani society. "The Islamic State", formerly known as the "Islamic State of Iraq and the Levant" and before that as the "Islamic State of Iraq", (and called the acronym Daesh by its many detractors), is a Wahhabi/Salafi jihadist extremist militant group which is led by and mainly composed of Sunni Arabs from Iraq and Syria. In 2014, the group proclaimed itself a caliphate, with religious, political and military authority over all Muslims worldwide. As of March 2015[update], it had control over territory occupied by ten million people in Iraq and Syria, and has nominal control over small areas of Libya, Nigeria and Afghanistan. (While a self-described state, it lacks international recognition.) The group also operates or has affiliates in other parts of the world, including North Africa and South Asia. ###Question: When was the regime in Pakistan overthrown by General Zia-ul-Haq? ###Answer: {'answer':'July 1977'}
###Answer the question from the input provided. Please answer from input only. ###Input: Politics: U.N. Secretary General Ban Ki-moon; American political leaders John Hancock, John Adams, John Quincy Adams, Rutherford B. Hayes, Theodore Roosevelt, Franklin D. Roosevelt, John F. Kennedy, Al Gore, George W. Bush and Barack Obama; Chilean President Sebastián Piñera; Colombian President Juan Manuel Santos; Costa Rican President José María Figueres; Mexican Presidents Felipe Calderón, Carlos Salinas de Gortari and Miguel de la Madrid; Mongolian President Tsakhiagiin Elbegdorj; Peruvian President Alejandro Toledo; Taiwanese President Ma Ying-jeou; Canadian Governor General David Lloyd Johnston; Indian Member of Parliament Jayant Sinha; Albanian Prime Minister Fan S. Noli; Canadian Prime Ministers Mackenzie King and Pierre Trudeau; Greek Prime Minister Antonis Samaras; Israeli Prime Minister Benjamin Netanyahu; former Pakistani Prime Minister Benazir Bhutto; U. S. Secretary of Housing and Urban Development Shaun Donovan; Canadian political leader Michael Ignatieff; Pakistani Members of Provincial Assembly Murtaza Bhutto and Sanam Bhutto; Bangladesh Minister of Finance Abul Maal Abdul Muhith; President of Puntland Abdiweli Mohamed Ali; U.S. Ambassador to the European Union Anthony Luzzatto Gardner. Other: Civil rights leader W. E. B. Du Bois; philosopher Henry David Thoreau; authors Ralph Waldo Emerson and William S. Burroughs; educators Werner Baer, Harlan Hanson; poets Wallace Stevens, T. S. Eliot and E. E. Cummings; conductor Leonard Bernstein; cellist Yo Yo Ma; pianist and composer Charlie Albright; composer John Alden Carpenter; comedian, television show host and writer Conan O'Brien; actors Tatyana Ali, Nestor Carbonell, Matt Damon, Fred Gwynne, Hill Harper, Rashida Jones, Tommy Lee Jones, Ashley Judd, Jack Lemmon, Natalie Portman, Mira Sorvino, Elisabeth Shue, and Scottie Thompson; film directors Darren Aronofsky, Terrence Malick, Mira Nair, and Whit Stillman; architect Philip Johnson; musicians Rivers Cuomo, Tom Morello, and Gram Parsons; musician, producer and composer Ryan Leslie; serial killer Ted Kaczynski; programmer and activist Richard Stallman; NFL quarterback Ryan Fitzpatrick; NFL center Matt Birk; NBA player Jeremy Lin; US Ski Team skier Ryan Max Riley; physician Sachin H. Jain; physicist J. Robert Oppenheimer; computer pioneer and inventor An Wang; Tibetologist George de Roerich; and Marshall Admiral Isoroku Yamamoto. Harvard's faculty includes scholars such as biologist E. O. Wilson, cognitive scientist Steven Pinker, physicists Lisa Randall and Roy Glauber, chemists Elias Corey, Dudley R. Herschbach and George M. Whitesides, computer scientists Michael O. Rabin and Leslie Valiant, Shakespeare scholar Stephen Greenblatt, writer Louis Menand, critic Helen Vendler, historians Henry Louis Gates, Jr. and Niall Ferguson, economists Amartya Sen, N. Gregory Mankiw, Robert Barro, Stephen A. Marglin, Don M. Wilson III and Martin Feldstein, political philosophers Harvey Mansfield, Baroness Shirley Williams and Michael Sandel, Fields Medalist mathematician Shing-Tung Yau, political scientists Robert Putnam, Joseph Nye, and Stanley Hoffmann, scholar/composers Robert Levin and Bernard Rands, astrophysicist Alyssa A. Goodman, and legal scholars Alan Dershowitz and Lawrence Lessig. Jacksonville is the largest city by population in the U.S. state of Florida, and the largest city by area in the contiguous United States. It is the county seat of Duval County, with which the city government consolidated in 1968. Consolidation gave Jacksonville its great size and placed most of its metropolitan population within the city limits; with an estimated population of 853,382 in 2014, it is the most populous city proper in Florida and the Southeast, and the 12th most populous in the United States. Jacksonville is the principal city in the Jacksonville metropolitan area, with a population of 1,345,596 in 2010. Jacksonville is in the First Coast region of northeast Florida and is centered on the banks of the St. Johns River, about 25 miles (40 km) south of the Georgia state line and about 340 miles (550 km) north of Miami. The Jacksonville Beaches communities are along the adjacent Atlantic coast. The area was originally inhabited by the Timucua people, and in 1564 was the site of the French colony of Fort Caroline, one of the earliest European settlements in what is now the continental United States. Under British rule, settlement grew at the narrow point in the river where cattle crossed, known as Wacca Pilatka to the Seminole and the Cow Ford to the British. A platted town was established there in 1822, a year after the United States gained Florida from Spain; it was named after Andrew Jackson, the first military governor of the Florida Territory and seventh President of the United States. ###Question: What Fields Medal winning Mathematician is a faculty member at Harvard? ###Answer: {'answer':'Shing-Tung Yau'}
###Answer the question from the input provided. Please answer from input only. ###Input: In the aftermath of generally poor French results in most theaters of the Seven Years' War in 1758, France's new foreign minister, the duc de Choiseul, decided to focus on an invasion of Britain, to draw British resources away from North America and the European mainland. The invasion failed both militarily and politically, as Pitt again planned significant campaigns against New France, and sent funds to Britain's ally on the mainland, Prussia, and the French Navy failed in the 1759 naval battles at Lagos and Quiberon Bay. In one piece of good fortune, some French supply ships managed to depart France, eluding the British blockade of the French coast. British victories continued in all theaters in the Annus Mirabilis of 1759, when they finally captured Ticonderoga, James Wolfe defeated Montcalm at Quebec (in a battle that claimed the lives of both commanders), and victory at Fort Niagara successfully cut off the French frontier forts further to the west and south. The victory was made complete in 1760 when, despite losing outside Quebec City in the Battle of Sainte-Foy, the British were able to prevent the arrival of French relief ships in the naval Battle of the Restigouche while armies marched on Montreal from three sides. In September 1760, and before any hostilities erupted, Governor Vaudreuil negotiated from Montreal a capitulation with General Amherst. Amherst granted Vaudreuil's request that any French residents who chose to remain in the colony would be given freedom to continue worshiping in their Roman Catholic tradition, continued ownership of their property, and the right to remain undisturbed in their homes. The British provided medical treatment for the sick and wounded French soldiers and French regular troops were returned to France aboard British ships with an agreement that they were not to serve again in the present war. The war in North America officially ended with the signing of the Treaty of Paris on 10 February 1763, and war in the European theatre of the Seven Years' War was settled by the Treaty of Hubertusburg on 15 February 1763. The British offered France the choice of surrendering either its continental North American possessions east of the Mississippi or the Caribbean islands of Guadeloupe and Martinique, which had been occupied by the British. France chose to cede the former, but was able to negotiate the retention of Saint Pierre and Miquelon, two small islands in the Gulf of St. Lawrence, along with fishing rights in the area. They viewed the economic value of the Caribbean islands' sugar cane to be greater and easier to defend than the furs from the continent. The contemporaneous French philosopher Voltaire referred to Canada disparagingly as nothing more than a few acres of snow. The British, for their part, were happy to take New France, as defence of their North American colonies would no longer be an issue and also because they already had ample places from which to obtain sugar. Spain, which traded Florida to Britain to regain Cuba, also gained Louisiana, including New Orleans, from France in compensation for its losses. Great Britain and Spain also agreed that navigation on the Mississippi River was to be open to vessels of all nations. Britain gained control of French Canada and Acadia, colonies containing approximately 80,000 primarily French-speaking Roman Catholic residents. The deportation of Acadians beginning in 1755 resulted in land made available to migrants from Europe and the colonies further south. The British resettled many Acadians throughout its North American provinces, but many went to France, and some went to New Orleans, which they had expected to remain French. Some were sent to colonize places as diverse as French Guiana and the Falkland Islands; these latter efforts were unsuccessful. Others migrated to places like Saint-Domingue, and fled to New Orleans after the Haitian Revolution. The Louisiana population contributed to the founding of the modern Cajun population. (The French word "Acadien" evolved to "Cadien", then to "Cajun".) ###Question: How many French colonists were gained by British? ###Answer: {'answer':'80,000'}
###Answer the question from the input provided. Please answer from input only. ###Input: One of the claimants of the English throne opposing William the Conqueror, Edgar Atheling, eventually fled to Scotland. King Malcolm III of Scotland married Edgar's sister Margaret, and came into opposition to William who had already disputed Scotland's southern borders. William invaded Scotland in 1072, riding as far as Abernethy where he met up with his fleet of ships. Malcolm submitted, paid homage to William and surrendered his son Duncan as a hostage, beginning a series of arguments as to whether the Scottish Crown owed allegiance to the King of England. Normans came into Scotland, building castles and founding noble families who would provide some future kings, such as Robert the Bruce, as well as founding a considerable number of the Scottish clans. King David I of Scotland, whose elder brother Alexander I had married Sybilla of Normandy, was instrumental in introducing Normans and Norman culture to Scotland, part of the process some scholars call the "Davidian Revolution". Having spent time at the court of Henry I of England (married to David's sister Maud of Scotland), and needing them to wrestle the kingdom from his half-brother Máel Coluim mac Alaxandair, David had to reward many with lands. The process was continued under David's successors, most intensely of all under William the Lion. The Norman-derived feudal system was applied in varying degrees to most of Scotland. Scottish families of the names Bruce, Gray, Ramsay, Fraser, Ogilvie, Montgomery, Sinclair, Pollock, Burnard, Douglas and Gordon to name but a few, and including the later royal House of Stewart, can all be traced back to Norman ancestry. Even before the Norman Conquest of England, the Normans had come into contact with Wales. Edward the Confessor had set up the aforementioned Ralph as earl of Hereford and charged him with defending the Marches and warring with the Welsh. In these original ventures, the Normans failed to make any headway into Wales. Subsequent to the Conquest, however, the Marches came completely under the dominance of William's most trusted Norman barons, including Bernard de Neufmarché, Roger of Montgomery in Shropshire and Hugh Lupus in Cheshire. These Normans began a long period of slow conquest during which almost all of Wales was at some point subject to Norman interference. Norman words, such as baron (barwn), first entered Welsh at that time. The legendary religious zeal of the Normans was exercised in religious wars long before the First Crusade carved out a Norman principality in Antioch. They were major foreign participants in the Reconquista in Iberia. In 1018, Roger de Tosny travelled to the Iberian Peninsula to carve out a state for himself from Moorish lands, but failed. In 1064, during the War of Barbastro, William of Montreuil led the papal army and took a huge booty. ###Question: Who was Margaret's brother? ###Answer: {'answer':'Edgar'}
###Answer the question from the input provided. Please answer from input only. ###Input: The invasions of Baghdad, Samarkand, Urgench, Kiev, Vladimir among others caused mass murders, such as when portions of southern Khuzestan were completely destroyed. His descendant Hulagu Khan destroyed much of Iran's northern part and sacked Baghdad although his forces were halted by the Mamluks of Egypt, but Hulagu's descendant Ghazan Khan would return to beat the Egyptian Mamluks right out of Levant, Palestine and even Gaza. According to the works of the Persian historian Rashid-al-Din Hamadani, the Mongols killed more than 70,000 people in Merv and more than 190,000 in Nishapur. In 1237 Batu Khan, a grandson of Genghis Khan, launched an invasion into Kievan Rus'. Over the course of three years, the Mongols destroyed and annihilated all of the major cities of Eastern Europe with the exceptions of Novgorod and Pskov. Although the famous Mughal emperors were proud descendants of Genghis Khan and particularly Timur, they clearly distanced themselves from the Mongol atrocities committed against the Khwarizim Shahs, Turks, Persians, the citizens of Baghdad and Damascus, Nishapur, Bukhara and historical figures such as Attar of Nishapur and many other notable Muslims. However, Mughal Emperors directly patronized the legacies of Genghis Khan and Timur; together their names were synonymous with the names of other distinguished personalities particularly among the Muslim populations of South Asia. One theory suggests the name stems from a palatalised version of the Mongolian and Turkic word tenggis, meaning "ocean", "oceanic" or "wide-spreading". (Lake Baikal and ocean were called tenggis by the Mongols. However, it seems that if they had meant to call Genghis tenggis they could have said, and written, "Tenggis Khan", which they did not.) Zhèng (Chinese: 正) meaning "right", "just", or "true", would have received the Mongolian adjectival modifier -s, creating "Jenggis", which in medieval romanization would be written "Genghis". It is likely that the 13th century Mongolian pronunciation would have closely matched "Chinggis". Genghis Khan, the title is spelled in variety of ways in different languages such as Mongolian Chinggis Khaan, English Chinghiz, Chinghis, and Chingiz, Chinese: 成吉思汗; pinyin: Chéngjísī Hán, Turkic: Cengiz Han, Çingiz Xan, Çingiz Han, Chingizxon, Çıñğız Xan, Chengez Khan, Chinggis Khan, Chinggis Xaan, Chingis Khan, Jenghis Khan, Chinggis Qan, Djingis Kahn, Russian: Чингисхан (Čingiskhan) or Чингиз-хан (Čingiz-khan), etc. Temüjin is written in Chinese as simplified Chinese: 铁木真; traditional Chinese: 鐵木眞; pinyin: Tiěmùzhēn. The word pharmacy is derived from its root word pharma which was a term used since the 15th–17th centuries. However, the original Greek roots from pharmakos imply sorcery or even poison. In addition to pharma responsibilities, the pharma offered general medical advice and a range of services that are now performed solely by other specialist practitioners, such as surgery and midwifery. The pharma (as it was referred to) often operated through a retail shop which, in addition to ingredients for medicines, sold tobacco and patent medicines. Often the place that did this was called an apothecary and several languages have this as the dominant term, though their practices are more akin to a modern pharmacy, in English the term apothecary would today be seen as outdated or only approproriate if herbal remedies were on offer to a large extent. The pharmas also used many other herbs not listed. The Greek word Pharmakeia (Greek: φαρμακεία) derives from pharmakon (φάρμακον), meaning "drug", "medicine" (or "poison").[n 1] ###Question: Which Mongolian word meaning wide-spreading may have contributed to the appellation Genghis? ###Answer: {'answer':'tenggis'}
###Answer the question from the input provided. Please answer from input only. ###Input: The city of Bukhara was not heavily fortified, with a moat and a single wall, and the citadel typical of Khwarezmi cities. The city leaders opened the gates to the Mongols, though a unit of Turkish defenders held the city's citadel for another twelve days. Survivors from the citadel were executed, artisans and craftsmen were sent back to Mongolia, young men who had not fought were drafted into the Mongolian army and the rest of the population was sent into slavery. As the Mongol soldiers looted the city, a fire broke out, razing most of the city to the ground. Genghis Khan had the city's surviving population assemble in the main mosque of the town, where he declared that he was the flail of God, sent to punish them for their sins. After the defeat of the Khwarezmian Empire in 1220, Genghis Khan gathered his forces in Persia and Armenia to return to the Mongolian steppes. Under the suggestion of Subutai, the Mongol army was split into two forces. Genghis Khan led the main army on a raid through Afghanistan and northern India towards Mongolia, while another 20,000 (two tumen) contingent marched through the Caucasus and into Russia under generals Jebe and Subutai. They pushed deep into Armenia and Azerbaijan. The Mongols destroyed the kingdom of Georgia, sacked the Genoese trade-fortress of Caffa in Crimea and overwintered near the Black Sea. Heading home, Subutai's forces attacked the allied forces of the Cuman–Kipchaks and the poorly coordinated 80,000 Kievan Rus' troops led by Mstislav the Bold of Halych and Mstislav III of Kiev who went out to stop the Mongols' actions in the area. Subutai sent emissaries to the Slavic princes calling for a separate peace, but the emissaries were executed. At the Battle of Kalka River in 1223, Subutai's forces defeated the larger Kievan force. They also may have fought against the neighboring Volga Bulgars. There is no historical record except a short account by the Arab historian Ibn al-Athir, writing in Mosul some 1100 miles away from the event. Various historical secondary sources - Morgan, Chambers, Grousset - state that the Mongols actually defeated the Bulgars, Chambers even going so far as to say that the Bulgars had made up stories to tell the (recently crushed) Russians that they had beaten the Mongols and driven them from their territory. The Russian princes then sued for peace. Subutai agreed but was in no mood to pardon the princes. As was customary in Mongol society for nobility, the Russian princes were given a bloodless death. Subutai had a large wooden platform constructed on which he ate his meals along with his other generals. Six Russian princes, including Mstislav III of Kiev, were put under this platform and crushed to death. The Mongols learned from captives of the abundant green pastures beyond the Bulgar territory, allowing for the planning for conquest of Hungary and Europe. Genghis Khan recalled Subutai back to Mongolia soon afterwards, and Jebe died on the road back to Samarkand. The famous cavalry expedition led by Subutai and Jebe, in which they encircled the entire Caspian Sea defeating all armies in their path, remains unparalleled to this day, and word of the Mongol triumphs began to trickle to other nations, particularly Europe. These two campaigns are generally regarded as reconnaissance campaigns that tried to get the feel of the political and cultural elements of the regions. In 1225 both divisions returned to Mongolia. These invasions added Transoxiana and Persia to an already formidable empire while destroying any resistance along the way. Later under Genghis Khan's grandson Batu and the Golden Horde, the Mongols returned to conquer Volga Bulgaria and Kievan Rus' in 1237, concluding the campaign in 1240. In 1226, immediately after returning from the west, Genghis Khan began a retaliatory attack on the Tanguts. His armies quickly took Heisui, Ganzhou, and Suzhou (not the Suzhou in Jiangsu province), and in the autumn he took Xiliang-fu[disambiguation needed]. One of the Tangut generals challenged the Mongols to a battle near Helan Mountains but was defeated. In November, Genghis laid siege to the Tangut city Lingzhou and crossed the Yellow River, defeating the Tangut relief army. According to legend, it was here that Genghis Khan reportedly saw a line of five stars arranged in the sky and interpreted it as an omen of his victory. In 1227, Genghis Khan's army attacked and destroyed the Tangut capital of Ning Hia and continued to advance, seizing Lintiao-fu, Xining province, Xindu-fu, and Deshun province in quick succession in the spring. At Deshun, the Tangut general Ma Jianlong put up a fierce resistance for several days and personally led charges against the invaders outside the city gate. Ma Jianlong later died from wounds received from arrows in battle. Genghis Khan, after conquering Deshun, went to Liupanshan (Qingshui County, Gansu Province) to escape the severe summer. The new Tangut emperor quickly surrendered to the Mongols, and the rest of the Tanguts officially surrendered soon after. Not happy with their betrayal and resistance, Genghis Khan ordered the entire imperial family to be executed, effectively ending the Tangut lineage. ###Question: What was the name of the Tangut capital? ###Answer: {'answer':'Ning Hia'}
###Answer the question from the input provided. Please answer from input only. ###Input: On 23 June 2005, Rep. Joe Barton, chairman of the House Committee on Energy and Commerce wrote joint letters with Ed Whitfield, Chairman of the Subcommittee on Oversight and Investigations demanding full records on climate research, as well as personal information about their finances and careers, from Mann, Bradley and Hughes. Sherwood Boehlert, chairman of the House Science Committee, said this was a "misguided and illegitimate investigation" apparently aimed at intimidating scientists, and at his request the U.S. National Academy of Sciences arranged for its National Research Council to set up a special investigation. The National Research Council's report agreed that there were some statistical failings, but these had little effect on the graph, which was generally correct. In a 2006 letter to Nature, Mann, Bradley, and Hughes pointed out that their original article had said that "more widespread high-resolution data are needed before more confident conclusions can be reached" and that the uncertainties were "the point of the article". The IPCC Fourth Assessment Report (AR4) published in 2007 featured a graph showing 12 proxy based temperature reconstructions, including the three highlighted in the 2001 Third Assessment Report (TAR); Mann, Bradley & Hughes 1999 as before, Jones et al. 1998 and Briffa 2000 had both been calibrated by newer studies. In addition, analysis of the Medieval Warm Period cited reconstructions by Crowley & Lowery 2000 (as cited in the TAR) and Osborn & Briffa 2006. Ten of these 14 reconstructions covered 1,000 years or longer. Most reconstructions shared some data series, particularly tree ring data, but newer reconstructions used additional data and covered a wider area, using a variety of statistical methods. The section discussed the divergence problem affecting certain tree ring data. On 1 February 2007, the eve of the publication of IPCC's major report on climate, a study was published suggesting that temperatures and sea levels have been rising at or above the maximum rates proposed during the last IPCC report in 2001. The study compared IPCC 2001 projections on temperature and sea level change with observations. Over the six years studied, the actual temperature rise was near the top end of the range given by IPCC's 2001 projection, and the actual sea level rise was above the top of the range of the IPCC projection. Another example of scientific research which suggests that previous estimates by the IPCC, far from overstating dangers and risks, have actually understated them is a study on projected rises in sea levels. When the researchers' analysis was "applied to the possible scenarios outlined by the Intergovernmental Panel on Climate Change (IPCC), the researchers found that in 2100 sea levels would be 0.5–1.4 m [50–140 cm] above 1990 levels. These values are much greater than the 9–88 cm as projected by the IPCC itself in its Third Assessment Report, published in 2001". This may have been due, in part, to the expanding human understanding of climate. Michael Oppenheimer, a long-time participant in the IPCC and coordinating lead author of the Fifth Assessment Report conceded in Science Magazine's State of the Planet 2008-2009 some limitations of the IPCC consensus approach and asks for concurring, smaller assessments of special problems instead of the large scale approach as in the previous IPCC assessment reports. It has become more important to provide a broader exploration of uncertainties. Others see as well mixed blessings of the drive for consensus within the IPCC process and ask to include dissenting or minority positions or to improve statements about uncertainties. ###Question: What danger did the IPCC understate? ###Answer: {'answer':'projected rises in sea levels'}
###Answer the question from the input provided. Please answer from input only. ###Input: Tesla wrote a number of books and articles for magazines and journals. Among his books are My Inventions: The Autobiography of Nikola Tesla, compiled and edited by Ben Johnston; The Fantastic Inventions of Nikola Tesla, compiled and edited by David Hatcher Childress; and The Tesla Papers. Many of Tesla's writings are freely available on the web, including the article "The Problem of Increasing Human Energy," published in The Century Magazine in 1900, and the article "Experiments With Alternate Currents Of High Potential And High Frequency," published in his book Inventions, Researches and Writings of Nikola Tesla. Tesla's legacy has endured in books, films, radio, TV, music, live theater, comics and video games. The impact of the technologies invented or envisioned by Tesla is a recurring theme in several types of science fiction. On Tesla's 75th birthday in 1931, Time magazine put him on its cover. The cover caption "All the world's his power house" noted his contribution to electrical power generation. He received congratulatory letters from more than 70 pioneers in science and engineering, including Albert Einstein. Computational complexity theory is a branch of the theory of computation in theoretical computer science that focuses on classifying computational problems according to their inherent difficulty, and relating those classes to each other. A computational problem is understood to be a task that is in principle amenable to being solved by a computer, which is equivalent to stating that the problem may be solved by mechanical application of mathematical steps, such as an algorithm. ###Question: What branch of theoretical computer science deals with broadly classifying computational problems by difficulty and class of relationship? ###Answer: {'answer':'Computational complexity theory'}
###Answer the question from the input provided. Please answer from input only. ###Input: Pharmacists are healthcare professionals with specialised education and training who perform various roles to ensure optimal health outcomes for their patients through the quality use of medicines. Pharmacists may also be small-business proprietors, owning the pharmacy in which they practice. Since pharmacists know about the mode of action of a particular drug, and its metabolism and physiological effects on the human body in great detail, they play an important role in optimisation of a drug treatment for an individual. A Pharmacy Technician in the UK is considered a health care professional and often does not work under the direct supervision of a pharmacist (if employed in a hospital pharmacy) but instead is supervised and managed by other senior pharmacy technicians. In the UK the role of a PhT has grown and responsibility has been passed on to them to manage the pharmacy department and specialised areas in pharmacy practice allowing pharmacists the time to specialise in their expert field as medication consultants spending more time working with patients and in research. A pharmacy technician once qualified has to register as a professional on the General Pharmaceutical Council (GPhC) register. The GPhC is the governing body for pharmacy health care professionals and this is who regulates the practice of pharmacists and pharmacy technicians. In Ancient Greece, Diocles of Carystus (4th century BC) was one of several men studying the medicinal properties of plants. He wrote several treatises on the topic. The Greek physician Pedanius Dioscorides is famous for writing a five volume book in his native Greek Περί ύλης ιατρικής in the 1st century AD. The Latin translation De Materia Medica (Concerning medical substances) was used a basis for many medieval texts, and was built upon by many middle eastern scientists during the Islamic Golden Age. The title coined the term materia medica. In Japan, at the end of the Asuka period (538–710) and the early Nara period (710–794), the men who fulfilled roles similar to those of modern pharmacists were highly respected. The place of pharmacists in society was expressly defined in the Taihō Code (701) and re-stated in the Yōrō Code (718). Ranked positions in the pre-Heian Imperial court were established; and this organizational structure remained largely intact until the Meiji Restoration (1868). In this highly stable hierarchy, the pharmacists—and even pharmacist assistants—were assigned status superior to all others in health-related fields such as physicians and acupuncturists. In the Imperial household, the pharmacist was even ranked above the two personal physicians of the Emperor. The advances made in the Middle East in botany and chemistry led medicine in medieval Islam substantially to develop pharmacology. Muhammad ibn Zakarīya Rāzi (Rhazes) (865–915), for instance, acted to promote the medical uses of chemical compounds. Abu al-Qasim al-Zahrawi (Abulcasis) (936–1013) pioneered the preparation of medicines by sublimation and distillation. His Liber servitoris is of particular interest, as it provides the reader with recipes and explains how to prepare the `simples’ from which were compounded the complex drugs then generally used. Sabur Ibn Sahl (d 869), was, however, the first physician to initiate pharmacopoedia, describing a large variety of drugs and remedies for ailments. Al-Biruni (973–1050) wrote one of the most valuable Islamic works on pharmacology, entitled Kitab al-Saydalah (The Book of Drugs), in which he detailed the properties of drugs and outlined the role of pharmacy and the functions and duties of the pharmacist. Avicenna, too, described no less than 700 preparations, their properties, modes of action, and their indications. He devoted in fact a whole volume to simple drugs in The Canon of Medicine. Of great impact were also the works by al-Maridini of Baghdad and Cairo, and Ibn al-Wafid (1008–1074), both of which were printed in Latin more than fifty times, appearing as De Medicinis universalibus et particularibus by 'Mesue' the younger, and the Medicamentis simplicibus by 'Abenguefit'. Peter of Abano (1250–1316) translated and added a supplement to the work of al-Maridini under the title De Veneris. Al-Muwaffaq’s contributions in the field are also pioneering. Living in the 10th century, he wrote The foundations of the true properties of Remedies, amongst others describing arsenious oxide, and being acquainted with silicic acid. He made clear distinction between sodium carbonate and potassium carbonate, and drew attention to the poisonous nature of copper compounds, especially copper vitriol, and also lead compounds. He also describes the distillation of sea-water for drinking.[verification needed] ###Question: Developments in which scientists influenced the creation of pharmacology in medieval Islam? ###Answer: {'answer':'botany and chemistry'}
###Answer the question from the input provided. Please answer from input only. ###Input: In contrast, during wake periods differentiated effector cells, such as cytotoxic natural killer cells and CTLs (cytotoxic T lymphocytes), peak in order to elicit an effective response against any intruding pathogens. As well during awake active times, anti-inflammatory molecules, such as cortisol and catecholamines, peak. There are two theories as to why the pro-inflammatory state is reserved for sleep time. First, inflammation would cause serious cognitive and physical impairments if it were to occur during wake times. Second, inflammation may occur during sleep times due to the presence of melatonin. Inflammation causes a great deal of oxidative stress and the presence of melatonin during sleep times could actively counteract free radical production during this time. When a T-cell encounters a foreign pathogen, it extends a vitamin D receptor. This is essentially a signaling device that allows the T-cell to bind to the active form of vitamin D, the steroid hormone calcitriol. T-cells have a symbiotic relationship with vitamin D. Not only does the T-cell extend a vitamin D receptor, in essence asking to bind to the steroid hormone version of vitamin D, calcitriol, but the T-cell expresses the gene CYP27B1, which is the gene responsible for converting the pre-hormone version of vitamin D, calcidiol into the steroid hormone version, calcitriol. Only after binding to calcitriol can T-cells perform their intended function. Other immune system cells that are known to express CYP27B1 and thus activate vitamin D calcidiol, are dendritic cells, keratinocytes and macrophages. Pattern recognition receptors are proteins used by nearly all organisms to identify molecules associated with pathogens. Antimicrobial peptides called defensins are an evolutionarily conserved component of the innate immune response found in all animals and plants, and represent the main form of invertebrate systemic immunity. The complement system and phagocytic cells are also used by most forms of invertebrate life. Ribonucleases and the RNA interference pathway are conserved across all eukaryotes, and are thought to play a role in the immune response to viruses. Evolution of the adaptive immune system occurred in an ancestor of the jawed vertebrates. Many of the classical molecules of the adaptive immune system (e.g., immunoglobulins and T cell receptors) exist only in jawed vertebrates. However, a distinct lymphocyte-derived molecule has been discovered in primitive jawless vertebrates, such as the lamprey and hagfish. These animals possess a large array of molecules called Variable lymphocyte receptors (VLRs) that, like the antigen receptors of jawed vertebrates, are produced from only a small number (one or two) of genes. These molecules are believed to bind pathogenic antigens in a similar way to antibodies, and with the same degree of specificity. It is likely that a multicomponent, adaptive immune system arose with the first vertebrates, as invertebrates do not generate lymphocytes or an antibody-based humoral response. Many species, however, utilize mechanisms that appear to be precursors of these aspects of vertebrate immunity. Immune systems appear even in the structurally most simple forms of life, with bacteria using a unique defense mechanism, called the restriction modification system to protect themselves from viral pathogens, called bacteriophages. Prokaryotes also possess acquired immunity, through a system that uses CRISPR sequences to retain fragments of the genomes of phage that they have come into contact with in the past, which allows them to block virus replication through a form of RNA interference. Offensive elements of the immune systems are also present in unicellular eukaryotes, but studies of their roles in defense are few. ###Question: Invertebrates do not generate what type of cells that are a part of the vertebrate adaptive immune system? ###Answer: {'answer':'lymphocytes'}
###Answer the question from the input provided. Please answer from input only. ###Input: On his 50th birthday in 1906, Tesla demonstrated his 200 horsepower (150 kilowatts) 16,000 rpm bladeless turbine. During 1910–1911 at the Waterside Power Station in New York, several of his bladeless turbine engines were tested at 100–5,000 hp. Tesla invented a steam-powered mechanical oscillator—Tesla's oscillator. While experimenting with mechanical oscillators at his Houston Street lab, Tesla allegedly generated a resonance of several buildings. As the speed grew, it is said that the machine oscillated at the resonance frequency of his own building and, belatedly realizing the danger, he was forced to use a sledge hammer to terminate the experiment, just as the police arrived.:162–164 In February 1912, an article—"Nikola Tesla, Dreamer" by Allan L. Benson—was published in World Today, in which an artist's illustration appears showing the entire earth cracking in half with the caption, "Tesla claims that in a few weeks he could set the earth's crust into such a state of vibration that it would rise and fall hundreds of feet and practically destroy civilization. A continuation of this process would, he says, eventually split the earth in two." Tesla theorized that the application of electricity to the brain enhanced intelligence. In 1912, he crafted "a plan to make dull students bright by saturating them unconsciously with electricity," wiring the walls of a schoolroom and, "saturating [the schoolroom] with infinitesimal electric waves vibrating at high frequency. The whole room will thus, Mr. Tesla claims, be converted into a health-giving and stimulating electromagnetic field or 'bath.'" The plan was, at least provisionally approved by then superintendent of New York City schools, William H. Maxwell. Before World War I, Tesla sought overseas investors. After the war started, Tesla lost the funding he was receiving from his patents in European countries. Eventually, he sold Wardenclyffe for $20,000 ($472,500 in today's dollars). In 1917, around the time that the Wardenclyffe Tower was demolished by Boldt to make the land a more viable real estate asset, Tesla received AIEE's highest honor, the Edison Medal. In the August 1917 edition of the magazine Electrical Experimenter Tesla postulated that electricity could be used to locate submarines via using the reflection of an "electric ray" of "tremendous frequency," with the signal being viewed on a fluorescent screen (a system that has been noted to have a superficial resemblance to modern radar). Tesla was incorrect in his assumption that high frequency radio waves would penetrate water but Émile Girardeau, who helped develop France's first radar system in the 1930s, noted in 1953 that Tesla's general speculation that a very strong high frequency signal would be needed was correct stating "(Tesla) was prophesying or dreaming, since he had at his disposal no means of carrying them out, but one must add that if he was dreaming, at least he was dreaming correctly.":266 ###Question: How many horsepower did Tesla's bladeless turbine have? ###Answer: {'answer':'200'}
###Answer the question from the input provided. Please answer from input only. ###Input: Commissioners have various privileges, such as being exempt from member state taxes (but not EU taxes), and having immunity from prosecution for doing official acts. Commissioners have sometimes been found to have abused their offices, particularly since the Santer Commission was censured by Parliament in 1999, and it eventually resigned due to corruption allegations. This resulted in one main case, Commission v Edith Cresson where the European Court of Justice held that a Commissioner giving her dentist a job, for which he was clearly unqualified, did in fact not break any law. By contrast to the ECJ's relaxed approach, a Committee of Independent Experts found that a culture had developed where few Commissioners had ‘even the slightest sense of responsibility’. This led to the creation of the European Anti-fraud Office. In 2012 it investigated the Maltese Commissioner for Health, John Dalli, who quickly resigned after allegations that he received a €60m bribe in connection with a Tobacco Products Directive. Beyond the Commission, the European Central Bank has relative executive autonomy in its conduct of monetary policy for the purpose of managing the euro. It has a six-person board appointed by the European Council, on the Council's recommendation. The President of the Council and a Commissioner can sit in on ECB meetings, but do not have voting rights. While the Commission has a monopoly on initiating legislation, the European Parliament and the Council of the European Union have powers of amendment and veto during the legislative process. According to the Treaty on European Union articles 9 and 10, the EU observes "the principle of equality of its citizens" and is meant to be founded on "representative democracy". In practice, equality and democracy are deficient because the elected representatives in the Parliament cannot initiate legislation against the Commission's wishes, citizens of smallest countries have ten times the voting weight in Parliament as citizens of the largest countries, and "qualified majorities" or consensus of the Council are required to legislate. The justification for this "democratic deficit" under the Treaties is usually thought to be that completion integration of the European economy and political institutions required the technical coordination of experts, while popular understanding of the EU developed and nationalist sentiments declined post-war. Over time, this has meant the Parliament gradually assumed more voice: from being an unelected assembly, to its first direct elections in 1979, to having increasingly more rights in the legislative process. Citizens' rights are therefore limited compared to the democratic polities within all European member states: under TEU article 11 citizens and associations have the rights such as publicising their views and submit an initiative that must be considered by the Commission with one million signatures. TFEU article 227 contains a further right for citizens to petition the Parliament on issues which affect them. Parliament elections, take place every five years, and votes for Members of the European Parliament in member states must be organised by proportional representation or a single transferable vote. There are 750 MEPs and their numbers are "degressively proportional" according to member state size. This means - although the Council is meant to be the body representing member states - in the Parliament citizens of smaller member states have more voice than citizens in larger member states. MEPs divide, as they do in national Parliaments, along political party lines: the conservative European People's Party is currently the largest, and the Party of European Socialists leads the opposition. Parties do not receive public funds from the EU, as the Court of Justice held in Parti écologiste "Les Verts" v Parliament that this was entirely an issue to be regulated by the member states. The Parliament's powers include calling inquiries into maladministration or appoint an Ombudsman pending any court proceedings. It can require the Commission respond to questions and by a two-thirds majority can censure the whole Commission (as happened to the Santer Commission in 1999). In some cases, the Parliament has explicit consultation rights, which the Commission must genuinely follow. However its role participation in the legislative process still remains limited because no member can actually or pass legislation without the Commission and Council, meaning power ("kratia") is not in the hands of directly elected representatives of the people ("demos"): in the EU it is not yet true that "the administration is in the hands of the many and not of the few." The second main legislative body is the Council, which is composed of different ministers of the member states. The heads of government of member states also convene a "European Council" (a distinct body) that the TEU article 15 defines as providing the 'necessary impetus for its development and shall define the general political directions and priorities'. It meets each six months and its President (currently former Poland Prime Minister Donald Tusk) is meant to 'drive forward its work', but it does not itself 'legislative functions'. The Council does this: in effect this is the governments of the member states, but there will be a different minister at each meeting, depending on the topic discussed (e.g. for environmental issues, the member states' environment ministers attend and vote; for foreign affairs, the foreign ministers, etc.). The minister must have the authority to represent and bin the member states in decisions. When voting takes place it is weighted inversely to member state size, so smaller member states are not dominated by larger member states. In total there are 352 votes, but for most acts there must be a qualified majority vote, if not consensus. TEU article 16(4) and TFEU article 238(3) define this to mean at least 55 per cent of the Council members (not votes) representing 65 per cent of the population of the EU: currently this means around 74 per cent, or 260 of the 352 votes. This is critical during the legislative process. To make new legislation, TFEU article 294 defines the "ordinary legislative procedure" that applies for most EU acts. The essence is there are three readings, starting with a Commission proposal, where the Parliament must vote by a majority of all MEPs (not just those present) to block or suggest changes, and the Council must vote by qualified majority to approve changes, but by unanimity to block Commission amendment. Where the different institutions cannot agree at any stage, a "Conciliation Committee" is convened, representing MEPs, ministers and the Commission to try and get agreement on a joint text: if this works, it will be sent back to the Parliament and Council to approve by absolute and qualified majority. This means, legislation can be blocked by a majority in Parliament, a minority in the Council, and a majority in the Commission: it is harder to change EU law than stay the same. A different procedure exists for budgets. For "enhanced cooperation" among a sub-set of at least member states, authorisation must be given by the Council. Member state governments should be informed by the Commission at the outset before any proposals start the legislative procedure. The EU as a whole can only act within its power set out in the Treaties. TEU articles 4 and 5 state that powers remain with the member states unless they have been conferred, although there is a debate about the Kompetenz-Kompetenz question: who ultimately has the "competence" to define the EU's "competence". Many member state courts believe they decide, other member state Parliaments believe they decide, while within the EU, the Court of Justice believes it has the final say. The judicial branch of the EU has played an important role in the development of EU law, by assuming the task of interpreting the treaties, and accelerating economic and political integration. Today the Court of Justice of the European Union (CJEU) is the main judicial body, within which there is a higher European Court of Justice (commonly abbreviated as ECJ) that deals with cases that contain more public importance, and a General Court that deals with issues of detail but without general importance. There is also a Civil Service Tribunal to deal with EU staff issues, and then a separate Court of Auditors. Under the Treaty on European Union article 19(2) there is one judge from each member state, 28 at present, who are supposed to "possess the qualifications required for appointment to the highest judicial offices" (or for the General Court, the "ability required for appointment to high judicial office"). A president is elected by the judges for three years. Under TEU article 19(3) is to be the ultimate court to interpret questions of EU law. In fact, most EU law is applied by member state courts (the English Court of Appeal, the German Bundesgerichtshof, the Belgian Cour du travail, etc.) but they can refer questions to the EU court for a preliminary ruling. The CJEU's duty is to "ensure that in the interpretation and application of the Treaties the law is observed", although realistically it has the ability to expand and develop the law according to the principles it deems to be appropriate. Arguably this has been done through both seminal and controversial judgments, including Van Gend en Loos, Mangold v Helm, and Kadi v Commission. ###Question: Which two governing bodies have legislative veto power? ###Answer: {'answer':'the European Parliament and the Council of the European Union'}
###Answer the question from the input provided. Please answer from input only. ###Input: Despite the disagreements on the Eucharist, the Marburg Colloquy paved the way for the signing in 1530 of the Augsburg Confession, and for the formation of the Schmalkaldic League the following year by leading Protestant nobles such as John of Saxony, Philip of Hesse, and George, Margrave of Brandenburg-Ansbach. The Swiss cities, however, did not sign these agreements. Some scholars have asserted that Luther taught that faith and reason were antithetical in the sense that questions of faith could not be illuminated by reason. He wrote, "All the articles of our Christian faith, which God has revealed to us in His Word, are in presence of reason sheerly impossible, absurd, and false." and "[That] Reason in no way contributes to faith. [...] For reason is the greatest enemy that faith has; it never comes to the aid of spiritual things." However, though seemingly contradictorily, he also wrote in the latter work that human reason "strives not against faith, when enlightened, but rather furthers and advances it", bringing claims he was a fideist into dispute. Contemporary Lutheran scholarship, however, has found a different reality in Luther. Luther rather seeks to separate faith and reason in order to honor the separate spheres of knowledge that each applies to. Bernhard Lohse, for example, has demonstrated in his classic work "Fides und Ratio" that Luther ultimately sought to put the two together. More recently, Hans-Peter Grosshans has demonstrated that Luther's work on Biblical Criticism stresses the need for external coherence in the right exegetical method. This means that for Luther it is more important that the Bible is reasonable according to the reality outside of the scriptures than that the Bible makes sense to itself, that it has internal coherence. The right tool for understanding the world outside of the Bible for Luther is none other than reason, which for him is the field of science, philosophy, history and empirical observation. Here a different picture is presented of a Luther who deeply valued both faith and reason, and held them in dialectical partnership. Luther's concern thus in separating them is honoring their different epistemological spheres. In 1523, Luther wrote that Jesus Christ was born a Jew which discouraged mistreatment of the Jews and advocated their conversion by proving that the Old Testament could be shown to speak of Jesus Christ. However, as the Reformation continued, Luther began to lose hope in large-scale Jewish conversion to Christianity. In his later years, Luther grew more hostile toward the Jews, writing against them with the kind of venom he had already unleashed on the Anabaptists, Zwinglianism, and the papacy. His 1543 treatise Von den Juden und ihren Lügen (On the Jews and Their Lies) took its place among other anti-Jewish literature of the times, although historians acknowledge that this treatise was particularly extreme, even by the standards of sixteenth century Europe. In it, he takes a hardline against Judaism, writing that synagogues and Jewish homes should be destroyed, their money confiscated, and liberty curtailed. These statements and their influence on antisemitism have contributed to his controversial status. At the time of the Marburg Colloquy, Suleiman the Magnificent was besieging Vienna with a vast Ottoman army. Luther had argued against resisting the Turks in his 1518 Explanation of the Ninety-five Theses, provoking accusations of defeatism. He saw the Turks as a scourge sent to punish Christians by God, as agents of the Biblical apocalypse that would destroy the antichrist, whom Luther believed to be the papacy, and the Roman Church. He consistently rejected the idea of a Holy War, "as though our people were an army of Christians against the Turks, who were enemies of Christ. This is absolutely contrary to Christ's doctrine and name". On the other hand, in keeping with his doctrine of the two kingdoms, Luther did support non-religious war against the Turks. In 1526, he argued in Whether Soldiers can be in a State of Grace that national defence is reason for a just war. By 1529, in On War against the Turk, he was actively urging Emperor Charles V and the German people to fight a secular war against the Turks. He made clear, however, that the spiritual war against an alien faith was separate, to be waged through prayer and repentance. Around the time of the Siege of Vienna, Luther wrote a prayer for national deliverance from the Turks, asking God to "give to our emperor perpetual victory over our enemies". In 1542, Luther read a Latin translation of the Qur'an. He went on to produce several critical pamphlets on Islam, which he called "Mohammedanism" or "the Turk". Though Luther saw the Muslim faith as a tool of the devil, he was indifferent to its practice: "Let the Turk believe and live as he will, just as one lets the papacy and other false Christians live." He opposed banning the publication of the Qur'an, wanting it exposed to scrutiny. ###Question: What do scholars sometimes assert that Luther believed about what faith and reason were to each other? ###Answer: {'answer':'antithetical'}
###Answer the question from the input provided. Please answer from input only. ###Input: In September 1967, Mueller approved a sequence of mission types which had to be successfully accomplished in order to achieve the manned lunar landing. Each step had to be successfully accomplished before the next ones could be performed, and it was unknown how many tries of each mission would be necessary; therefore letters were used instead of numbers. The A missions were unmanned Saturn V validation; B was unmanned LM validation using the Saturn IB; C was manned CSM Earth orbit validation using the Saturn IB; D was the first manned CSM/LM flight (this replaced AS-258, using a single Saturn V launch); E would be a higher Earth orbit CSM/LM flight; F would be the first lunar mission, testing the LM in lunar orbit but without landing (a "dress rehearsal"); and G would be the first manned landing. The list of types covered follow-on lunar exploration to include H lunar landings, I for lunar orbital survey missions, and J for extended-stay lunar landings. The delay in the CSM caused by the fire enabled NASA to catch up on man-rating the LM and Saturn V. Apollo 4 (AS-501) was the first unmanned flight of the Saturn V, carrying a Block I CSM on November 9, 1967. The capability of the Command Module's heat shield to survive a trans-lunar reentry was demonstrated by using the Service Module engine to ram it into the atmosphere at higher than the usual Earth-orbital reentry speed. This was followed on April 4, 1968, by Apollo 6 (AS-502) which carried a CSM and a LM Test Article as ballast. The intent of this mission was to achieve trans-lunar injection, followed closely by a simulated direct-return abort, using the Service Module engine to achieve another high-speed reentry. The Saturn V experienced pogo oscillation, a problem caused by non-steady engine combustion, which damaged fuel lines in the second and third stages. Two S-II engines shut down prematurely, but the remaining engines were able to compensate. The damage to the third stage engine was more severe, preventing it from restarting for trans-lunar injection. Mission controllers were able to use the Service Module engine to essentially repeat the flight profile of Apollo 4. Based on the good performance of Apollo 6 and identification of satisfactory fixes to the Apollo 6 problems, NASA declared the Saturn V ready to fly men, cancelling a third unmanned test. Apollo 5 (AS-204) was the first unmanned test flight of LM in Earth orbit, launched from pad 37 on January 22, 1968, by the Saturn IB that would have been used for Apollo 1. The LM engines were successfully test-fired and restarted, despite a computer programming error which cut short the first descent stage firing. The ascent engine was fired in abort mode, known as a "fire-in-the-hole" test, where it was lit simultaneously with jettison of the descent stage. Although Grumman wanted a second unmanned test, George Low decided the next LM flight would be manned. Apollo 8 was planned to be the D mission in December 1968, crewed by McDivitt, Scott and Schweickart, launched on a Saturn V instead of two Saturn IBs. In the summer it had become clear that the LM would not be ready in time. Rather than waste the Saturn V on another simple Earth-orbiting mission, ASPO Manager George Low suggested the bold step of sending Apollo 8 to orbit the Moon instead, deferring the D mission to the next mission in March 1969, and eliminating the E mission. This would keep the program on track. The Soviet Union had sent animals around the Moon on September 15, 1968, aboard Zond 5, and it was believed they might soon repeat the feat with human cosmonauts. The decision was not announced publicly until successful completion of Apollo 7. Gemini veterans Frank Borman and James Lovell, and rookie William Anders captured the world's attention by making 10 lunar orbits in 20 hours, transmitting television pictures of the lunar surface on Christmas Eve, and returning safely to Earth. The G mission was achieved on Apollo 11 in July 1969 by an all-Gemini veteran crew consisting of Neil Armstrong, Michael Collins and Buzz Aldrin. Armstrong and Aldrin performed the first landing at the Sea of Tranquility at 20:17:40 UTC on July 20, 1969. They spent a total of 21 hours, 36 minutes on the surface, and spent 2 hours, 31 minutes outside the spacecraft, walking on the surface, taking photographs, collecting material samples, and deploying automated scientific instruments, while continuously sending black-and-white television back to Earth. The astronauts returned safely on July 24. ###Question: From what project did the Apollo 11 crew consist entirely of? ###Answer: {'answer':'Gemini'}
###Answer the question from the input provided. Please answer from input only. ###Input: From Italy, the disease spread northwest across Europe, striking France, Spain, Portugal and England by June 1348, then turned and spread east through Germany and Scandinavia from 1348 to 1350. It was introduced in Norway in 1349 when a ship landed at Askøy, then spread to Bjørgvin (modern Bergen) and Iceland. Finally it spread to northwestern Russia in 1351. The plague was somewhat less common in parts of Europe that had smaller trade relations with their neighbours, including the Kingdom of Poland, the majority of the Basque Country, isolated parts of Belgium and the Netherlands, and isolated alpine villages throughout the continent. The plague struck various countries in the Middle East during the pandemic, leading to serious depopulation and permanent change in both economic and social structures. As it spread to western Europe, the disease entered the region from southern Russia also. By autumn 1347, the plague reached Alexandria in Egypt, probably through the port's trade with Constantinople, and ports on the Black Sea. During 1347, the disease travelled eastward to Gaza, and north along the eastern coast to cities in Lebanon, Syria and Palestine, including Ashkelon, Acre, Jerusalem, Sidon, Damascus, Homs, and Aleppo. In 1348–49, the disease reached Antioch. The city's residents fled to the north, most of them dying during the journey, but the infection had been spread to the people of Asia Minor.[citation needed] Gasquet (1908) claimed that the Latin name atra mors (Black Death) for the 14th-century epidemic first appeared in modern times in 1631 in a book on Danish history by J.I. Pontanus: "Vulgo & ab effectu atram mortem vocatibant. ("Commonly and from its effects, they called it the black death"). The name spread through Scandinavia and then Germany, gradually becoming attached to the mid 14th-century epidemic as a proper name. In England, it was not until 1823 that the medieval epidemic was first called the Black Death. Medical knowledge had stagnated during the Middle Ages. The most authoritative account at the time came from the medical faculty in Paris in a report to the king of France that blamed the heavens, in the form of a conjunction of three planets in 1345 that caused a "great pestilence in the air". This report became the first and most widely circulated of a series of plague tracts that sought to give advice to sufferers. That the plague was caused by bad air became the most widely accepted theory. Today, this is known as the Miasma theory. The word 'plague' had no special significance at this time, and only the recurrence of outbreaks during the Middle Ages gave it the name that has become the medical term. The dominant explanation for the Black Death is the plague theory, which attributes the outbreak to Yersinia pestis, also responsible for an epidemic that began in southern China in 1865, eventually spreading to India. The investigation of the pathogen that caused the 19th-century plague was begun by teams of scientists who visited Hong Kong in 1894, among whom was the French-Swiss bacteriologist Alexandre Yersin, after whom the pathogen was named Yersinia pestis. The mechanism by which Y. pestis was usually transmitted was established in 1898 by Paul-Louis Simond and was found to involve the bites of fleas whose midguts had become obstructed by replicating Y. pestis several days after feeding on an infected host. This blockage results in starvation and aggressive feeding behaviour by the fleas, which repeatedly attempt to clear their blockage by regurgitation, resulting in thousands of plague bacteria being flushed into the feeding site, infecting the host. The bubonic plague mechanism was also dependent on two populations of rodents: one resistant to the disease, which act as hosts, keeping the disease endemic, and a second that lack resistance. When the second population dies, the fleas move on to other hosts, including people, thus creating a human epidemic. ###Question: Who claimed that the name Black Death first appeared in 1631? ###Answer: {'answer':'Gasquet'}
###Answer the question from the input provided. Please answer from input only. ###Input: Harbor improvements since the late 19th century have made Jacksonville a major military and civilian deep-water port. Its riverine location facilitates two United States Navy bases and the Port of Jacksonville, Florida's third largest seaport. The two US Navy bases, Blount Island Command and the nearby Naval Submarine Base Kings Bay form the third largest military presence in the United States. Significant factors in the local economy include services such as banking, insurance, healthcare and logistics. As with much of Florida, tourism is also important to the Jacksonville area, particularly tourism related to golf. People from Jacksonville may be called "Jacksonvillians" or "Jaxsons" (also spelled "Jaxons"). The area of the modern city of Jacksonville has been inhabited for thousands of years. On Black Hammock Island in the national Timucuan Ecological and Historic Preserve, a University of North Florida team discovered some of the oldest remnants of pottery in the United States, dating to 2500 BC. In the 16th century, the beginning of the historical era, the region was inhabited by the Mocama, a coastal subgroup of the Timucua people. At the time of contact with Europeans, all Mocama villages in present-day Jacksonville were part of the powerful chiefdom known as the Saturiwa, centered around the mouth of the St. Johns River. One early map shows a village called Ossachite at the site of what is now downtown Jacksonville; this may be the earliest recorded name for that area. French Huguenot explorer Jean Ribault charted the St. Johns River in 1562 calling it the River of May because he discovered it in May. Ribault erected a stone column near present-day Jacksonville claiming the newly discovered land for France. In 1564, René Goulaine de Laudonnière established the first European settlement, Fort Caroline, on the St. Johns near the main village of the Saturiwa. Philip II of Spain ordered Pedro Menéndez de Avilés to protect the interest of Spain by attacking the French presence at Fort Caroline. On September 20, 1565, a Spanish force from the nearby Spanish settlement of St. Augustine attacked Fort Caroline, and killed nearly all the French soldiers defending it. The Spanish renamed the fort San Mateo, and following the ejection of the French, St. Augustine's position as the most important settlement in Florida was solidified. The location of Fort Caroline is subject to debate but a reconstruction of the fort was established on the St. Johns River in 1964. Spain ceded Florida to the British in 1763 after the French and Indian War, and the British soon constructed the King's Road connecting St. Augustine to Georgia. The road crossed the St. Johns River at a narrow point, which the Seminole called Wacca Pilatka and the British called the Cow Ford or Cowford; these names ostensibly reflect the fact that cattle were brought across the river there. The British introduced the cultivation of sugar cane, indigo and fruits as well the export of lumber. As a result, the northeastern Florida area prospered economically more than it had under the Spanish. Britain ceded control of the territory back to Spain in 1783, after its defeat in the American Revolutionary War, and the settlement at the Cow Ford continued to grow. After Spain ceded the Florida Territory to the United States in 1821, American settlers on the north side of the Cow Ford decided to plan a town, laying out the streets and plats. They soon named the town Jacksonville, after Andrew Jackson. Led by Isaiah D. Hart, residents wrote a charter for a town government, which was approved by the Florida Legislative Council on February 9, 1832. During the American Civil War, Jacksonville was a key supply point for hogs and cattle being shipped from Florida to aid the Confederate cause. The city was blockaded by Union forces, who gained control of the nearby Fort Clinch. Though no battles were fought in Jacksonville proper, the city changed hands several times between Union and Confederate forces. The Skirmish of the Brick Church in 1862 just outside Jacksonville proper resulted in the first Confederate victory in Florida. In February 1864 Union forces left Jacksonville and confronted a Confederate Army at the Battle of Olustee resulting in a Confederate victory. Union forces then retreated to Jacksonville and held the city for the remainder of the war. In March 1864 a Confederate cavalry confronted a Union expedition resulting in the Battle of Cedar Creek. Warfare and the long occupation left the city disrupted after the war. ###Question: Supplies from Jacksonville were in support of which faction in the Civil War? ###Answer: {'answer':'Confederate'}
###Answer the question from the input provided. Please answer from input only. ###Input: The immune system is a system of many biological structures and processes within an organism that protects against disease. To function properly, an immune system must detect a wide variety of agents, known as pathogens, from viruses to parasitic worms, and distinguish them from the organism's own healthy tissue. In many species, the immune system can be classified into subsystems, such as the innate immune system versus the adaptive immune system, or humoral immunity versus cell-mediated immunity. In humans, the blood–brain barrier, blood–cerebrospinal fluid barrier, and similar fluid–brain barriers separate the peripheral immune system from the neuroimmune system which protects the brain. Pathogens can rapidly evolve and adapt, and thereby avoid detection and neutralization by the immune system; however, multiple defense mechanisms have also evolved to recognize and neutralize pathogens. Even simple unicellular organisms such as bacteria possess a rudimentary immune system, in the form of enzymes that protect against bacteriophage infections. Other basic immune mechanisms evolved in ancient eukaryotes and remain in their modern descendants, such as plants and invertebrates. These mechanisms include phagocytosis, antimicrobial peptides called defensins, and the complement system. Jawed vertebrates, including humans, have even more sophisticated defense mechanisms, including the ability to adapt over time to recognize specific pathogens more efficiently. Adaptive (or acquired) immunity creates immunological memory after an initial response to a specific pathogen, leading to an enhanced response to subsequent encounters with that same pathogen. This process of acquired immunity is the basis of vaccination. Disorders of the immune system can result in autoimmune diseases, inflammatory diseases and cancer. Immunodeficiency occurs when the immune system is less active than normal, resulting in recurring and life-threatening infections. In humans, immunodeficiency can either be the result of a genetic disease such as severe combined immunodeficiency, acquired conditions such as HIV/AIDS, or the use of immunosuppressive medication. In contrast, autoimmunity results from a hyperactive immune system attacking normal tissues as if they were foreign organisms. Common autoimmune diseases include Hashimoto's thyroiditis, rheumatoid arthritis, diabetes mellitus type 1, and systemic lupus erythematosus. Immunology covers the study of all aspects of the immune system. Immunology is a science that examines the structure and function of the immune system. It originates from medicine and early studies on the causes of immunity to disease. The earliest known reference to immunity was during the plague of Athens in 430 BC. Thucydides noted that people who had recovered from a previous bout of the disease could nurse the sick without contracting the illness a second time. In the 18th century, Pierre-Louis Moreau de Maupertuis made experiments with scorpion venom and observed that certain dogs and mice were immune to this venom. This and other observations of acquired immunity were later exploited by Louis Pasteur in his development of vaccination and his proposed germ theory of disease. Pasteur's theory was in direct opposition to contemporary theories of disease, such as the miasma theory. It was not until Robert Koch's 1891 proofs, for which he was awarded a Nobel Prize in 1905, that microorganisms were confirmed as the cause of infectious disease. Viruses were confirmed as human pathogens in 1901, with the discovery of the yellow fever virus by Walter Reed. The immune system protects organisms from infection with layered defenses of increasing specificity. In simple terms, physical barriers prevent pathogens such as bacteria and viruses from entering the organism. If a pathogen breaches these barriers, the innate immune system provides an immediate, but non-specific response. Innate immune systems are found in all plants and animals. If pathogens successfully evade the innate response, vertebrates possess a second layer of protection, the adaptive immune system, which is activated by the innate response. Here, the immune system adapts its response during an infection to improve its recognition of the pathogen. This improved response is then retained after the pathogen has been eliminated, in the form of an immunological memory, and allows the adaptive immune system to mount faster and stronger attacks each time this pathogen is encountered. ###Question: What is the immune system? ###Answer: {'answer':'a system of many biological structures and processes within an organism that protects against disease'}
###Answer the question from the input provided. Please answer from input only. ###Input: Teachers are required to be registered with the Teaching Council; under Section 30 of the Teaching Council Act 2001, a person employed in any capacity in a recognised teaching post - who is not registered with the Teaching Council - may not be paid from Oireachtas funds. From 2006 Garda vetting has been introduced for new entrants to the teaching profession. These procedures apply to teaching and also to non-teaching posts and those who refuse vetting "cannot be appointed or engaged by the school in any capacity including in a voluntary role". Existing staff will be vetted on a phased basis. Salaries for Nursery, Primary and Secondary School teachers ranged from £20,133 to £41,004 in September 2007, although some salaries can go much higher depending on experience and extra responsibilities. Preschool teachers may earn £20,980 annually.[citation needed] Teachers in state schools must have at least a bachelor's degree, complete an approved teacher education program, and be licensed. Many counties offer alternative licensing programs to attract people into teaching, especially for hard-to-fill positions. Excellent job opportunities are expected as retirements, especially among secondary school teachers, outweigh slowing enrollment growth; opportunities will vary by geographic area and subject taught.[citation needed] In Scotland, anyone wishing to teach must be registered with the General Teaching Council for Scotland (GTCS). Teaching in Scotland is an all graduate profession and the normal route for graduates wishing to teach is to complete a programme of Initial Teacher Education (ITE) at one of the seven Scottish Universities who offer these courses. Once successfully completed, "Provisional Registration" is given by the GTCS which is raised to "Full Registration" status after a year if there is sufficient evidence to show that the "Standard for Full Registration" has been met. ###Question: What do counties sometimes offer to get more teachers? ###Answer: {'answer':'alternative licensing programs'}
###Answer the question from the input provided. Please answer from input only. ###Input: In early 1961, direct ascent was generally the mission mode in favor at NASA. Many engineers feared that a rendezvous —let alone a docking— neither of which had been attempted even in Earth orbit, would be extremely difficult in lunar orbit. Dissenters including John Houbolt at Langley Research Center emphasized the important weight reductions that were offered by the LOR approach. Throughout 1960 and 1961, Houbolt campaigned for the recognition of LOR as a viable and practical option. Bypassing the NASA hierarchy, he sent a series of memos and reports on the issue to Associate Administrator Robert Seamans; while acknowledging that he spoke "somewhat as a voice in the wilderness," Houbolt pleaded that LOR should not be discounted in studies of the question. Seamans' establishment of an ad-hoc committee headed by his special technical assistant Nicholas E. Golovin in July 1961, to recommend a launch vehicle to be used in the Apollo program, represented a turning point in NASA's mission mode decision. This committee recognized that the chosen mode was an important part of the launch vehicle choice, and recommended in favor of a hybrid EOR-LOR mode. Its consideration of LOR —as well as Houbolt's ceaseless work— played an important role in publicizing the workability of the approach. In late 1961 and early 1962, members of the Manned Spacecraft Center began to come around to support LOR, including the newly hired deputy director of the Office of Manned Space Flight, Joseph Shea, who became a champion of LOR. The engineers at Marshall Space Flight Center (MSFC) took longer to become convinced of its merits, but their conversion was announced by Wernher von Braun at a briefing in June 1962. But even after NASA reached internal agreement, it was far from smooth sailing. Kennedy's science advisor Jerome Wiesner, who had expressed his opposition to manned spaceflight to Kennedy before the President took office, and had opposed the decision to land men on the Moon, hired Golovin, who had left NASA, to chair his own "Space Vehicle Panel", ostensibly to monitor, but actually to second-guess NASA's decisions on the Saturn V launch vehicle and LOR by forcing Shea, Seamans, and even Webb to defend themselves, delaying its formal announcement to the press on July 11, 1962, and forcing Webb to still hedge the decision as "tentative". Wiesner kept up the pressure, even making the disagreement public during a two-day September visit by the President to Marshall Space Flight Center. Wiesner blurted out "No, that's no good" in front of the press, during a presentation by von Braun. Webb jumped in and defended von Braun, until Kennedy ended the squabble by stating that the matter was "still subject to final review". Webb held firm, and issued a request for proposal to candidate Lunar Excursion Module (LEM) contractors. Wiesner finally relented, unwilling to settle the dispute once and for all in Kennedy's office, because of the President's involvement with the October Cuban missile crisis, and fear of Kennedy's support for Webb. NASA announced the selection of Grumman as the LEM contractor in November 1962. The LOR method had the advantage of allowing the lander spacecraft to be used as a "lifeboat" in the event of a failure of the command ship. Some documents prove this theory was discussed before and after the method was chosen. A 1964 MSC study concluded, "The LM [as lifeboat] ... was finally dropped, because no single reasonable CSM failure could be identified that would prohibit use of the SPS." Ironically, just such a failure happened on Apollo 13 when an oxygen tank explosion left the command ship without electrical power. The Lunar Module provided propulsion, electrical power and life support to get the crew home safely. ###Question: What did the engineers fear would be difficult in space due to it never being attempted in Earth orbit? ###Answer: {'answer':'a rendezvous —let alone a docking'}
###Answer the question from the input provided. Please answer from input only. ###Input: Southern California is also home to a large home grown surf and skateboard culture. Companies such as Volcom, Quiksilver, No Fear, RVCA, and Body Glove are all headquartered here. Professional skateboarder Tony Hawk, professional surfers Rob Machado, Tim Curran, Bobby Martinez, Pat O'Connell, Dane Reynolds, and Chris Ward, and professional snowboarder Shaun White live in southern California. Some of the world's legendary surf spots are in southern California as well, including Trestles, Rincon, The Wedge, Huntington Beach, and Malibu, and it is second only to the island of Oahu in terms of famous surf breaks. Some of the world's biggest extreme sports events, including the X Games, Boost Mobile Pro, and the U.S. Open of Surfing are all in southern California. Southern California is also important to the world of yachting. The annual Transpacific Yacht Race, or Transpac, from Los Angeles to Hawaii, is one of yachting's premier events. The San Diego Yacht Club held the America's Cup, the most prestigious prize in yachting, from 1988 to 1995 and hosted three America's Cup races during that time. Many locals and tourists frequent the southern California coast for its popular beaches, and the desert city of Palm Springs is popular for its resort feel and nearby open spaces. "Southern California" is not a formal geographic designation, and definitions of what constitutes southern California vary. Geographically, California's north-south midway point lies at exactly 37° 9' 58.23" latitude, around 11 miles (18 km) south of San Jose; however, this does not coincide with popular use of the term. When the state is divided into two areas (northern and southern California), the term "southern California" usually refers to the ten southern-most counties of the state. This definition coincides neatly with the county lines at 35° 47′ 28″ north latitude, which form the northern borders of San Luis Obispo, Kern, and San Bernardino counties. Another definition for southern California uses Point Conception and the Tehachapi Mountains as the northern boundary. Though there is no official definition for the northern boundary of southern California, such a division has existed from the time when Mexico ruled California, and political disputes raged between the Californios of Monterey in the upper part and Los Angeles in the lower part of Alta California. Following the acquisition of California by the United States, the division continued as part of the attempt by several pro-slavery politicians to arrange the division of Alta California at 36 degrees, 30 minutes, the line of the Missouri Compromise. Instead, the passing of the Compromise of 1850 enabled California to be admitted to the Union as a free state, preventing southern California from becoming its own separate slave state. Subsequently, Californios (dissatisfied with inequitable taxes and land laws) and pro-slavery southerners in the lightly populated "Cow Counties" of southern California attempted three times in the 1850s to achieve a separate statehood or territorial status separate from Northern California. The last attempt, the Pico Act of 1859, was passed by the California State Legislature and signed by the State governor John B. Weller. It was approved overwhelmingly by nearly 75% of voters in the proposed Territory of Colorado. This territory was to include all the counties up to the then much larger Tulare County (that included what is now Kings, most of Kern, and part of Inyo counties) and San Luis Obispo County. The proposal was sent to Washington, D.C. with a strong advocate in Senator Milton Latham. However, the secession crisis following the election of Abraham Lincoln in 1860 led to the proposal never coming to a vote. ###Question: Other than land laws, what else were the Californios dissatisfied with? ###Answer: {'answer':'inequitable taxes'}
###Answer the question from the input provided. Please answer from input only. ###Input: Colonel Monckton, in the sole British success that year, captured Fort Beauséjour in June 1755, cutting the French fortress at Louisbourg off from land-based reinforcements. To cut vital supplies to Louisbourg, Nova Scotia's Governor Charles Lawrence ordered the deportation of the French-speaking Acadian population from the area. Monckton's forces, including companies of Rogers' Rangers, forcibly removed thousands of Acadians, chasing down many who resisted, and sometimes committing atrocities. More than any other factor, the cutting off of supplies to Louisbourg led to its demise. The Acadian resistance, in concert with native allies, including the Mi'kmaq, was sometimes quite stiff, with ongoing frontier raids (against Dartmouth and Lunenburg among others). Other than the campaigns to expel the Acadians (ranging around the Bay of Fundy, on the Petitcodiac and St. John rivers, and Île Saint-Jean), the only clashes of any size were at Petitcodiac in 1755 and at Bloody Creek near Annapolis Royal in 1757. Following the death of Braddock, William Shirley assumed command of British forces in North America. At a meeting in Albany in December 1755, he laid out his plans for 1756. In addition to renewing the efforts to capture Niagara, Crown Point and Duquesne, he proposed attacks on Fort Frontenac on the north shore of Lake Ontario and an expedition through the wilderness of the Maine district and down the Chaudière River to attack the city of Quebec. Bogged down by disagreements and disputes with others, including William Johnson and New York's Governor Sir Charles Hardy, Shirley's plan had little support. Newcastle replaced him in January 1756 with Lord Loudoun, with Major General James Abercrombie as his second in command. Neither of these men had as much campaign experience as the trio of officers France sent to North America. French regular army reinforcements arrived in New France in May 1756, led by Major General Louis-Joseph de Montcalm and seconded by the Chevalier de Lévis and Colonel François-Charles de Bourlamaque, all experienced veterans from the War of the Austrian Succession. During that time in Europe, on May 18, 1756, England formally declared war on France, which expanded the war into Europe, which was later to be known as the Seven Years' War. Governor Vaudreuil, who harboured ambitions to become the French commander in chief (in addition to his role as governor), acted during the winter of 1756 before those reinforcements arrived. Scouts had reported the weakness of the British supply chain, so he ordered an attack against the forts Shirley had erected at the Oneida Carry. In the March Battle of Fort Bull, French forces destroyed the fort and large quantities of supplies, including 45,000 pounds of gunpowder. They set back any British hopes for campaigns on Lake Ontario, and endangered the Oswego garrison, already short on supplies. French forces in the Ohio valley also continued to intrigue with Indians throughout the area, encouraging them to raid frontier settlements. This led to ongoing alarms along the western frontiers, with streams of refugees returning east to get away from the action. The new British command was not in place until July. When he arrived in Albany, Abercrombie refused to take any significant actions until Loudoun approved them. Montcalm took bold action against his inertia. Building on Vaudreuil's work harassing the Oswego garrison, Montcalm executed a strategic feint by moving his headquarters to Ticonderoga, as if to presage another attack along Lake George. With Abercrombie pinned down at Albany, Montcalm slipped away and led the successful attack on Oswego in August. In the aftermath, Montcalm and the Indians under his command disagreed about the disposition of prisoners' personal effects. The Europeans did not consider them prizes and prevented the Indians from stripping the prisoners of their valuables, which angered the Indians. ###Question: Who refused to act until Loudoun approved plans? ###Answer: {'answer':'Abercrombie'}
###Answer the question from the input provided. Please answer from input only. ###Input: Accounts of Genghis Khan's life are marked by claims of a series of betrayals and conspiracies. These include rifts with his early allies such as Jamukha (who also wanted to be a ruler of Mongol tribes) and Wang Khan (his and his father's ally), his son Jochi, and problems with the most important shaman, who was allegedly trying to drive a wedge between him and his loyal brother Khasar. His military strategies showed a deep interest in gathering good intelligence and understanding the motivations of his rivals, exemplified by his extensive spy network and Yam route systems. He seemed to be a quick student, adopting new technologies and ideas that he encountered, such as siege warfare from the Chinese. He was also ruthless, demonstrated by his tactic of measuring against the linchpin, used against the tribes led by Jamukha. As a result, by 1206 Temüjin had managed to unite or subdue the Merkits, Naimans, Mongols, Keraites, Tatars, Uyghurs, and other disparate smaller tribes under his rule. It was a monumental feat for the "Mongols" (as they became known collectively). At a Khuruldai, a council of Mongol chiefs, Temüjin was acknowledged as "Khan" of the consolidated tribes and took the new title "Genghis Khan". The title Khagan was not conferred on Genghis until after his death, when his son and successor, Ögedei, took the title for himself and extended it posthumously to his father (as he was also to be posthumously declared the founder of the Yuan dynasty). This unification of all confederations by Genghis Khan established peace between previously warring tribes and a single political and military force under Genghis Khan. In 1211, after the conquest of Western Xia, Genghis Khan planned again to conquer the Jin dynasty. The commander of the Jin dynasty army made a tactical mistake in not attacking the Mongols at the first opportunity. Instead, the Jin commander sent a messenger, Ming-Tan, to the Mongol side, who defected and told the Mongols that the Jin army was waiting on the other side of the pass. At this engagement fought at Badger Pass the Mongols massacred hundreds of thousands of Jin troops. In 1215 Genghis besieged, captured, and sacked the Jin capital of Zhongdu (modern-day Beijing). This forced the Emperor Xuanzong to move his capital south to Kaifeng, abandoning the northern half of his kingdom to the Mongols. Between 1232 and 1233, Kaifeng fell to the Mongols under the reign of Genghis' third son, Ögedei Khan. The Jin dynasty collapsed in 1234, after the siege of Caizhou. Kuchlug, the deposed Khan of the Naiman confederation that Temüjin defeated and folded into his Mongol Empire, fled west and usurped the khanate of Qara Khitai (also known as the Western Liao, as it was originally established as remnants of the Liao dynasty). Genghis Khan decided to conquer the Qara Khitai and defeat Kuchlug, possibly to take him out of power. By this time the Mongol army was exhausted from ten years of continuous campaigning in China against the Western Xia and Jin dynasty. Therefore, Genghis sent only two tumen (20,000 soldiers) against Kuchlug, under his younger general, Jebe, known as "The Arrow". With such a small force, the invading Mongols were forced to change strategies and resort to inciting internal revolt among Kuchlug's supporters, leaving the Qara Khitai more vulnerable to Mongol conquest. As a result, Kuchlug's army was defeated west of Kashgar. Kuchlug fled again, but was soon hunted down by Jebe's army and executed. By 1218, as a result of defeat of Qara Khitai, the Mongol Empire and its control extended as far west as Lake Balkhash, which bordered the Khwarezmia (Khwarezmid Empire), a Muslim state that reached the Caspian Sea to the west and Persian Gulf and the Arabian Sea to the south. ###Question: What strategy did Jebe's army use against Kuchlug and his supporters? ###Answer: {'answer':'inciting internal revolt'}
###Answer the question from the input provided. Please answer from input only. ###Input: In 1899, John Jacob Astor IV invested $100,000 for Tesla to further develop and produce a new lighting system. Instead, Tesla used the money to fund his Colorado Springs experiments. On 7 January 1900, Tesla left Colorado Springs.[citation needed] His lab was torn down in 1904, and its contents were sold two years later to satisfy a debt. The Colorado experiments had prepared Tesla for the establishment of the trans-Atlantic wireless telecommunications facility known as Wardenclyffe near Shoreham, Long Island. Tesla later approached Morgan to ask for more funds to build a more powerful transmitter. When asked where all the money had gone, Tesla responded by saying that he was affected by the Panic of 1901, which he (Morgan) had caused. Morgan was shocked by the reminder of his part in the stock market crash and by Tesla's breach of contract by asking for more funds. Tesla wrote another plea to Morgan, but it was also fruitless. Morgan still owed Tesla money on the original agreement, and Tesla had been facing foreclosure even before construction of the tower began. In December 1901, Marconi successfully transmitted the letter S from England to Newfoundland, terminating Tesla's relationship with Morgan.[improper synthesis?] Over the next five years, Tesla wrote over 50 letters to Morgan, pleading for and demanding additional funding to complete the construction of Wardenclyffe. Tesla continued the project for another nine months. The tower was erected to its full 187 feet (57 m). In July 1903, Tesla wrote to Morgan that in addition to wireless communication, Wardenclyffe would be capable of wireless transmission of electric power. On 14 October 1904, Morgan finally replied through his secretary, stating, "It will be impossible for [me] to do anything in the matter," after Tesla had written to Morgan when the financier was meeting with the Archbishop of Canterbury in an attempt to appeal to his Christian spirit. ###Question: What did Tesla establish following his Colorado experiments? ###Answer: {'answer':'Wardenclyffe'}
###Answer the question from the input provided. Please answer from input only. ###Input: Concentrated O 2 will allow combustion to proceed rapidly and energetically. Steel pipes and storage vessels used to store and transmit both gaseous and liquid oxygen will act as a fuel; and therefore the design and manufacture of O 2 systems requires special training to ensure that ignition sources are minimized. The fire that killed the Apollo 1 crew in a launch pad test spread so rapidly because the capsule was pressurized with pure O 2 but at slightly more than atmospheric pressure, instead of the 1⁄3 normal pressure that would be used in a mission.[k] Oxygen is present in the atmosphere in trace quantities in the form of carbon dioxide (CO 2). The Earth's crustal rock is composed in large part of oxides of silicon (silica SiO 2, as found in granite and quartz), aluminium (aluminium oxide Al 2O 3, in bauxite and corundum), iron (iron(III) oxide Fe 2O 3, in hematite and rust), and calcium carbonate (in limestone). The rest of the Earth's crust is also made of oxygen compounds, in particular various complex silicates (in silicate minerals). The Earth's mantle, of much larger mass than the crust, is largely composed of silicates of magnesium and iron. John Dalton's original atomic hypothesis assumed that all elements were monatomic and that the atoms in compounds would normally have the simplest atomic ratios with respect to one another. For example, Dalton assumed that water's formula was HO, giving the atomic mass of oxygen as 8 times that of hydrogen, instead of the modern value of about 16. In 1805, Joseph Louis Gay-Lussac and Alexander von Humboldt showed that water is formed of two volumes of hydrogen and one volume of oxygen; and by 1811 Amedeo Avogadro had arrived at the correct interpretation of water's composition, based on what is now called Avogadro's law and the assumption of diatomic elemental molecules.[a] Highly combustible materials that leave little residue, such as wood or coal, were thought to be made mostly of phlogiston; whereas non-combustible substances that corrode, such as iron, contained very little. Air did not play a role in phlogiston theory, nor were any initial quantitative experiments conducted to test the idea; instead, it was based on observations of what happens when something burns, that most common objects appear to become lighter and seem to lose something in the process. The fact that a substance like wood gains overall weight in burning was hidden by the buoyancy of the gaseous combustion products. Indeed, one of the first clues that the phlogiston theory was incorrect was that metals, too, gain weight in rusting (when they were supposedly losing phlogiston). In this dioxygen, the two oxygen atoms are chemically bonded to each other. The bond can be variously described based on level of theory, but is reasonably and simply described as a covalent double bond that results from the filling of molecular orbitals formed from the atomic orbitals of the individual oxygen atoms, the filling of which results in a bond order of two. More specifically, the double bond is the result of sequential, low-to-high energy, or Aufbau, filling of orbitals, and the resulting cancellation of contributions from the 2s electrons, after sequential filling of the low σ and σ* orbitals; σ overlap of the two atomic 2p orbitals that lie along the O-O molecular axis and π overlap of two pairs of atomic 2p orbitals perpendicular to the O-O molecular axis, and then cancellation of contributions from the remaining two of the six 2p electrons after their partial filling of the lowest π and π* orbitals. ###Question: What chemical element was the cause of the Apollo 1 disastrous outcome? ###Answer: {'answer':'pure O'}
###Answer the question from the input provided. Please answer from input only. ###Input: In 1854 at Ballarat there was an armed rebellion against the government of Victoria by miners protesting against mining taxes (the "Eureka Stockade"). This was crushed by British troops, but the discontents prompted colonial authorities to reform the administration (particularly reducing the hated mining licence fees) and extend the franchise. Within a short time, the Imperial Parliament granted Victoria responsible government with the passage of the Colony of Victoria Act 1855. Some of the leaders of the Eureka rebellion went on to become members of the Victorian Parliament. The Premier of Victoria is the leader of the political party or coalition with the most seats in the Legislative Assembly. The Premier is the public face of government and, with cabinet, sets the legislative and political agenda. Cabinet consists of representatives elected to either house of parliament. It is responsible for managing areas of government that are not exclusively the Commonwealth's, by the Australian Constitution, such as education, health and law enforcement. The current Premier of Victoria is Daniel Andrews. During 2003–04, the gross value of Victorian agricultural production increased by 17% to $8.7 billion. This represented 24% of national agricultural production total gross value. As of 2004, an estimated 32,463 farms occupied around 136,000 square kilometres (52,500 sq mi) of Victorian land. This comprises more than 60% of the state's total land surface. Victorian farms range from small horticultural outfits to large-scale livestock and grain productions. A quarter of farmland is used to grow consumable crops. Major events also play a big part in tourism in Victoria, particularly cultural tourism and sports tourism. Most of these events are centred on Melbourne, but others occur in regional cities, such as the V8 Supercars and Australian Motorcycle Grand Prix at Phillip Island, the Grand Annual Steeplechase at Warrnambool and the Australian International Airshow at Geelong and numerous local festivals such as the popular Port Fairy Folk Festival, Queenscliff Music Festival, Bells Beach SurfClassic and the Bright Autumn Festival. Huguenot numbers peaked near an estimated two million by 1562, concentrated mainly in the southern and central parts of France, about one-eighth the number of French Catholics. As Huguenots gained influence and more openly displayed their faith, Catholic hostility grew, in spite of increasingly liberal political concessions and edicts of toleration from the French crown. A series of religious conflicts followed, known as the Wars of Religion, fought intermittently from 1562 to 1598. The wars finally ended with the granting of the Edict of Nantes, which granted the Huguenots substantial religious, political and military autonomy. ###Question: How much did the gross agricultural product increase from 2003-04? ###Answer: {'answer':'$8.7 billion'}
###Answer the question from the input provided. Please answer from input only. ###Input: Other components are often present; pumps (such as an injector) to supply water to the boiler during operation, condensers to recirculate the water and recover the latent heat of vaporisation, and superheaters to raise the temperature of the steam above its saturated vapour point, and various mechanisms to increase the draft for fireboxes. When coal is used, a chain or screw stoking mechanism and its drive engine or motor may be included to move the fuel from a supply bin (bunker) to the firebox. See: Mechanical stoker Land-based steam engines could exhaust much of their steam, as feed water was usually readily available. Prior to and during World War I, the expansion engine dominated marine applications where high vessel speed was not essential. It was however superseded by the British invention steam turbine where speed was required, for instance in warships, such as the dreadnought battleships, and ocean liners. HMS Dreadnought of 1905 was the first major warship to replace the proven technology of the reciprocating engine with the then-novel steam turbine.[citation needed] Virtually all nuclear power plants generate electricity by heating water to provide steam that drives a turbine connected to an electrical generator. Nuclear-powered ships and submarines either use a steam turbine directly for main propulsion, with generators providing auxiliary power, or else employ turbo-electric transmission, where the steam drives a turbo generator set with propulsion provided by electric motors. A limited number of steam turbine railroad locomotives were manufactured. Some non-condensing direct-drive locomotives did meet with some success for long haul freight operations in Sweden and for express passenger work in Britain, but were not repeated. Elsewhere, notably in the U.S.A., more advanced designs with electric transmission were built experimentally, but not reproduced. It was found that steam turbines were not ideally suited to the railroad environment and these locomotives failed to oust the classic reciprocating steam unit in the way that modern diesel and electric traction has done.[citation needed] The Rankine cycle is sometimes referred to as a practical Carnot cycle because, when an efficient turbine is used, the TS diagram begins to resemble the Carnot cycle. The main difference is that heat addition (in the boiler) and rejection (in the condenser) are isobaric (constant pressure) processes in the Rankine cycle and isothermal (constant temperature) processes in the theoretical Carnot cycle. In this cycle a pump is used to pressurize the working fluid which is received from the condenser as a liquid not as a gas. Pumping the working fluid in liquid form during the cycle requires a small fraction of the energy to transport it compared to the energy needed to compress the working fluid in gaseous form in a compressor (as in the Carnot cycle). The cycle of a reciprocating steam engine differs from that of turbines because of condensation and re-evaporation occurring in the cylinder or in the steam inlet passages. Oxygen is a chemical element with symbol O and atomic number 8. It is a member of the chalcogen group on the periodic table and is a highly reactive nonmetal and oxidizing agent that readily forms compounds (notably oxides) with most elements. By mass, oxygen is the third-most abundant element in the universe, after hydrogen and helium. At standard temperature and pressure, two atoms of the element bind to form dioxygen, a colorless and odorless diatomic gas with the formula O 2. Diatomic oxygen gas constitutes 20.8% of the Earth's atmosphere. However, monitoring of atmospheric oxygen levels show a global downward trend, because of fossil-fuel burning. Oxygen is the most abundant element by mass in the Earth's crust as part of oxide compounds such as silicon dioxide, making up almost half of the crust's mass. ###Question: What is the Rankine cycle sometimes called? ###Answer: {'answer':'practical Carnot cycle'}
###Answer the question from the input provided. Please answer from input only. ###Input: Chloroplasts are highly dynamic—they circulate and are moved around within plant cells, and occasionally pinch in two to reproduce. Their behavior is strongly influenced by environmental factors like light color and intensity. Chloroplasts, like mitochondria, contain their own DNA, which is thought to be inherited from their ancestor—a photosynthetic cyanobacterium that was engulfed by an early eukaryotic cell. Chloroplasts cannot be made by the plant cell and must be inherited by each daughter cell during cell division. Chloroplasts are one of many types of organelles in the plant cell. They are considered to have originated from cyanobacteria through endosymbiosis—when a eukaryotic cell engulfed a photosynthesizing cyanobacterium that became a permanent resident in the cell. Mitochondria are thought to have come from a similar event, where an aerobic prokaryote was engulfed. This origin of chloroplasts was first suggested by the Russian biologist Konstantin Mereschkowski in 1905 after Andreas Schimper observed in 1883 that chloroplasts closely resemble cyanobacteria. Chloroplasts are only found in plants and algae. Cyanobacteria are considered the ancestors of chloroplasts. They are sometimes called blue-green algae even though they are prokaryotes. They are a diverse phylum of bacteria capable of carrying out photosynthesis, and are gram-negative, meaning that they have two cell membranes. Cyanobacteria also contain a peptidoglycan cell wall, which is thicker than in other gram-negative bacteria, and which is located between their two cell membranes. Like chloroplasts, they have thylakoids within. On the thylakoid membranes are photosynthetic pigments, including chlorophyll a. Phycobilins are also common cyanobacterial pigments, usually organized into hemispherical phycobilisomes attached to the outside of the thylakoid membranes (phycobilins are not shared with all chloroplasts though). Somewhere around a billion years ago, a free-living cyanobacterium entered an early eukaryotic cell, either as food or as an internal parasite, but managed to escape the phagocytic vacuole it was contained in. The two innermost lipid-bilayer membranes that surround all chloroplasts correspond to the outer and inner membranes of the ancestral cyanobacterium's gram negative cell wall, and not the phagosomal membrane from the host, which was probably lost. The new cellular resident quickly became an advantage, providing food for the eukaryotic host, which allowed it to live within it. Over time, the cyanobacterium was assimilated, and many of its genes were lost or transferred to the nucleus of the host. Some of its proteins were then synthesized in the cytoplasm of the host cell, and imported back into the chloroplast (formerly the cyanobacterium). These chloroplasts, which can be traced back directly to a cyanobacterial ancestor, are known as primary plastids ("plastid" in this context means almost the same thing as chloroplast). All primary chloroplasts belong to one of three chloroplast lineages—the glaucophyte chloroplast lineage, the rhodophyte, or red algal chloroplast lineage, or the chloroplastidan, or green chloroplast lineage. The second two are the largest, and the green chloroplast lineage is the one that contains the land plants. ###Question: How do chloroplasts reproduce? ###Answer: {'answer':'pinch in two'}
###Answer the question from the input provided. Please answer from input only. ###Input: A problem is regarded as inherently difficult if its solution requires significant resources, whatever the algorithm used. The theory formalizes this intuition, by introducing mathematical models of computation to study these problems and quantifying the amount of resources needed to solve them, such as time and storage. Other complexity measures are also used, such as the amount of communication (used in communication complexity), the number of gates in a circuit (used in circuit complexity) and the number of processors (used in parallel computing). One of the roles of computational complexity theory is to determine the practical limits on what computers can and cannot do. Closely related fields in theoretical computer science are analysis of algorithms and computability theory. A key distinction between analysis of algorithms and computational complexity theory is that the former is devoted to analyzing the amount of resources needed by a particular algorithm to solve a problem, whereas the latter asks a more general question about all possible algorithms that could be used to solve the same problem. More precisely, it tries to classify problems that can or cannot be solved with appropriately restricted resources. In turn, imposing restrictions on the available resources is what distinguishes computational complexity from computability theory: the latter theory asks what kind of problems can, in principle, be solved algorithmically. A computational problem can be viewed as an infinite collection of instances together with a solution for every instance. The input string for a computational problem is referred to as a problem instance, and should not be confused with the problem itself. In computational complexity theory, a problem refers to the abstract question to be solved. In contrast, an instance of this problem is a rather concrete utterance, which can serve as the input for a decision problem. For example, consider the problem of primality testing. The instance is a number (e.g. 15) and the solution is "yes" if the number is prime and "no" otherwise (in this case "no"). Stated another way, the instance is a particular input to the problem, and the solution is the output corresponding to the given input. To further highlight the difference between a problem and an instance, consider the following instance of the decision version of the traveling salesman problem: Is there a route of at most 2000 kilometres passing through all of Germany's 15 largest cities? The quantitative answer to this particular problem instance is of little use for solving other instances of the problem, such as asking for a round trip through all sites in Milan whose total length is at most 10 km. For this reason, complexity theory addresses computational problems and not particular problem instances. When considering computational problems, a problem instance is a string over an alphabet. Usually, the alphabet is taken to be the binary alphabet (i.e., the set {0,1}), and thus the strings are bitstrings. As in a real-world computer, mathematical objects other than bitstrings must be suitably encoded. For example, integers can be represented in binary notation, and graphs can be encoded directly via their adjacency matrices, or by encoding their adjacency lists in binary. ###Question: By how many kilometers does the traveling salesman problem seek to classify a route between the 15 largest cities in Germany? ###Answer: {'answer':'2000'}
###Answer the question from the input provided. Please answer from input only. ###Input: Inflammation is one of the first responses of the immune system to infection. The symptoms of inflammation are redness, swelling, heat, and pain, which are caused by increased blood flow into tissue. Inflammation is produced by eicosanoids and cytokines, which are released by injured or infected cells. Eicosanoids include prostaglandins that produce fever and the dilation of blood vessels associated with inflammation, and leukotrienes that attract certain white blood cells (leukocytes). Common cytokines include interleukins that are responsible for communication between white blood cells; chemokines that promote chemotaxis; and interferons that have anti-viral effects, such as shutting down protein synthesis in the host cell. Growth factors and cytotoxic factors may also be released. These cytokines and other chemicals recruit immune cells to the site of infection and promote healing of any damaged tissue following the removal of pathogens. Phagocytosis is an important feature of cellular innate immunity performed by cells called 'phagocytes' that engulf, or eat, pathogens or particles. Phagocytes generally patrol the body searching for pathogens, but can be called to specific locations by cytokines. Once a pathogen has been engulfed by a phagocyte, it becomes trapped in an intracellular vesicle called a phagosome, which subsequently fuses with another vesicle called a lysosome to form a phagolysosome. The pathogen is killed by the activity of digestive enzymes or following a respiratory burst that releases free radicals into the phagolysosome. Phagocytosis evolved as a means of acquiring nutrients, but this role was extended in phagocytes to include engulfment of pathogens as a defense mechanism. Phagocytosis probably represents the oldest form of host defense, as phagocytes have been identified in both vertebrate and invertebrate animals. Neutrophils and macrophages are phagocytes that travel throughout the body in pursuit of invading pathogens. Neutrophils are normally found in the bloodstream and are the most abundant type of phagocyte, normally representing 50% to 60% of the total circulating leukocytes. During the acute phase of inflammation, particularly as a result of bacterial infection, neutrophils migrate toward the site of inflammation in a process called chemotaxis, and are usually the first cells to arrive at the scene of infection. Macrophages are versatile cells that reside within tissues and produce a wide array of chemicals including enzymes, complement proteins, and regulatory factors such as interleukin 1. Macrophages also act as scavengers, ridding the body of worn-out cells and other debris, and as antigen-presenting cells that activate the adaptive immune system. Leukocytes (white blood cells) act like independent, single-celled organisms and are the second arm of the innate immune system. The innate leukocytes include the phagocytes (macrophages, neutrophils, and dendritic cells), mast cells, eosinophils, basophils, and natural killer cells. These cells identify and eliminate pathogens, either by attacking larger pathogens through contact or by engulfing and then killing microorganisms. Innate cells are also important mediators in the activation of the adaptive immune system. Dendritic cells (DC) are phagocytes in tissues that are in contact with the external environment; therefore, they are located mainly in the skin, nose, lungs, stomach, and intestines. They are named for their resemblance to neuronal dendrites, as both have many spine-like projections, but dendritic cells are in no way connected to the nervous system. Dendritic cells serve as a link between the bodily tissues and the innate and adaptive immune systems, as they present antigens to T cells, one of the key cell types of the adaptive immune system. ###Question: What are white blood cells known as? ###Answer: {'answer':'Leukocytes'}
###Answer the question from the input provided. Please answer from input only. ###Input: In accordance with his father's wishes, Luther enrolled in law school at the same university that year but dropped out almost immediately, believing that law represented uncertainty. Luther sought assurances about life and was drawn to theology and philosophy, expressing particular interest in Aristotle, William of Ockham, and Gabriel Biel. He was deeply influenced by two tutors, Bartholomaeus Arnoldi von Usingen and Jodocus Trutfetter, who taught him to be suspicious of even the greatest thinkers and to test everything himself by experience. Philosophy proved to be unsatisfying, offering assurance about the use of reason but none about loving God, which to Luther was more important. Reason could not lead men to God, he felt, and he thereafter developed a love-hate relationship with Aristotle over the latter's emphasis on reason. For Luther, reason could be used to question men and institutions, but not God. Human beings could learn about God only through divine revelation, he believed, and Scripture therefore became increasingly important to him. He later attributed his decision to an event: on 2 July 1505, he was returning to university on horseback after a trip home. During a thunderstorm, a lightning bolt struck near him. Later telling his father he was terrified of death and divine judgment, he cried out, "Help! Saint Anna, I will become a monk!" He came to view his cry for help as a vow he could never break. He left law school, sold his books, and entered a closed Augustinian cloister in Erfurt on 17 July 1505. One friend blamed the decision on Luther's sadness over the deaths of two friends. Luther himself seemed saddened by the move. Those who attended a farewell supper walked him to the door of the Black Cloister. "This day you see me, and then, not ever again," he said. His father was furious over what he saw as a waste of Luther's education. Luther dedicated himself to the Augustinian order, devoting himself to fasting, long hours in prayer, pilgrimage, and frequent confession. Luther described this period of his life as one of deep spiritual despair. He said, "I lost touch with Christ the Savior and Comforter, and made of him the jailer and hangman of my poor soul." Johann von Staupitz, his superior, pointed Luther's mind away from continual reflection upon his sins toward the merits of Christ. He taught that true repentance does not involve self-inflicted penances and punishments but rather a change of heart. In 1507, he was ordained to the priesthood, and in 1508, von Staupitz, first dean of the newly founded University of Wittenberg, sent for Luther, to teach theology. He received a bachelor's degree in Biblical studies on 9 March 1508, and another bachelor's degree in the Sentences by Peter Lombard in 1509. On 19 October 1512, he was awarded his Doctor of Theology and, on 21 October 1512, was received into the senate of the theological faculty of the University of Wittenberg, having been called to the position of Doctor in Bible. He spent the rest of his career in this position at the University of Wittenberg. ###Question: To what did Martin Luther devote all his attention ? ###Answer: {'answer':'Augustinian order'}
###Answer the question from the input provided. Please answer from input only. ###Input: In 2000, ABC launched a web-based promotional campaign focused around its circle logo, also called "the dot", in which comic book character Little Dot prompted visitors to "download the dot", a program which would cause the ABC logo to fly around the screen and settle in the bottom-right corner. The network hired the Troika Design Group to design and produce its 2001–02 identity, which continued using the black-and-yellow coloring of the logo and featured dots and stripes in various promotional and identification spots. In 1998, the network began using a minimalist graphical identity, designed by Pittard Sullivan, featuring a small black-and-white "ABC Circle" logo on a yellow background (promotions during this time also featured a sequence of still photos of the stars of its programs during the timeslot card as well as the schedule sequence that began each night's prime time lineup). A new four-note theme tune was introduced alongside the package, based around the network's "We Love TV" image campaign introduced that year, creating an audio signature on par with the NBC chimes, CBS' various three-note soundmarks (including the current version used since 2000) and the Fox Fanfare. The four-note signature has been updated with every television season thereafter (though variants of it used since the 1998–99 season remain in use during the production company vanity cards shown following the closing credits of most programs). In the fall of 2015, ABC is stopped with its 1998–2002 four-note jingles for promotions and production company vanity cards following the closing credits of most of its programs over seventeen years, now it have a different and adventure-type music (with the drums of the network's four-note signature in the ending). The old four-note theme tune is still used by ABC on Demand to the beginning of the ABC show. In 1983, for the 40th anniversary of the network's founding, ID sequences had the logo appear in a gold CGI design on a blue background, accompanied by the slogan "That Special Feeling" in a script font. Ten years later, in 1993, the "ABC Circle" logo reverted to its classic white-on-black color scheme, but with gloss effects on both the circle and the letters, and a bronze border surrounding the circle. The ABC logo first appeared as a on-screen bug in the 1993–94 season, appearing initially only for 60 seconds at the beginning of an act or segment, before appearing throughout programs (except during commercial breaks) beginning in the 1995–96 season; the respective iterations of the translucent logo bug were also incorporated within program promotions until the 2011–12 season. The 1970s and 1980s saw the emergence of many graphical imaging packages for the network in which based the logo's setting mainly on special lighting effects then under development including white, blue, pink, rainbow neon and glittering dotted lines. Among the "ABC Circle" logo's many variants was a 1977 ID sequence that featured a bubble on a black background representing the circle with glossy gold letters, and as such, was the first ABC identification card to have a three-dimensional appearance. In 1962, graphic designer Paul Rand redesigned the ABC logo into its best-known (and current) form, with the lowercase letters "abc" enclosed in a single black circle. The new logo debuted on-air for ABC's promos at the start of the 1963–64 season. The letters are strongly reminiscent of the Bauhaus typeface designed by Herbert Bayer in the 1920s, but also share similarities with several other fonts, such as ITC Avant Garde and Horatio, and most closely resembling Chalet. The logo's simplicity made it easier to redesign and duplicate, which conferred a benefit for ABC (mostly before the advent of computer graphics). ###Question: In what year did the first ABC identification card have a 3D appearance? ###Answer: {'answer':'1977'}
###Answer the question from the input provided. Please answer from input only. ###Input: The new office of the PM will have power and authority to co-ordinate and supervise the functions of the Government and will be occupied by an elected MP who will be the leader of the party or coalition with majority members in Parliament. The world watched Annan and his UN-backed panel and African Union chairman Jakaya Kikwete as they brought together the former rivals to the signing ceremony, beamed live on national TV from the steps of Nairobi's Harambee House. On 29 February 2008, representatives of PNU and ODM began working on the finer details of the power-sharing agreement. Kenyan lawmakers unanimously approved a power-sharing deal 18 March 2008, aimed at salvaging a country usually seen as one of the most stable and prosperous in Africa. The deal brought Kibaki's PNU and Odinga's ODM together and heralded the formation of the grand coalition, in which the two political parties would share power equally. A constitutional change was considered that would eliminate the position of Prime Minister and simultaneously reduce the powers of the President. A referendum to vote on the proposed constitution was held on 4 August 2010, and the new constitution passed by a wide margin. Among other things, the new constitution delegates more power to local governments and gives Kenyans a bill of rights. It was promulgated on 27 August 2010 at a euphoric ceremony in Nairobi's Uhuru Park, accompanied by a 21-gun salute. The event was attended by various African leaders and praised by the international community. As of that day, the new constitution heralding the Second Republic came into force. In December 2014, President Uhuru Kenyatta signed a Security Laws Amendment Bill, which supporters of the law suggested was necessary to guard against armed groups. Opposition politicians, human rights groups, and nine Western countries criticised the security bill, arguing that it infringed on democratic freedoms. The governments of the United States, Britain, Germany and France also collectively issued a press statement cautioning about the law's potential impact. Through the Jubillee Coalition, the Bill was later passed on 19 December in the National Assembly under acrimonious circumstances. With International Criminal Court trial dates in 2013 for both President Kenyatta and Deputy President William Ruto related to the 2007 election aftermath, US President Barack Obama chose not to visit the country during his mid-2013 African trip. Later in the summer, Kenyatta visited China at the invitation of President Xi Jinping after a stop in Russia and not having visited the United States as president. In July 2015 Obama visited Kenya, as the first American president to visit the country while in office. The armed forces are regularly deployed in peacekeeping missions around the world. Further, in the aftermath of the national elections of December 2007 and the violence that subsequently engulfed the country, a commission of inquiry, the Waki Commission, commended its readiness and adjudged it to "have performed its duty well." Nevertheless, there have been serious allegations of human rights violations, most recently while conducting counter-insurgency operations in the Mt Elgon area and also in the district of Mandera central. ###Question: What will the Prime Minister have power over? ###Answer: {'answer':'PM will have power and authority to co-ordinate and supervise the functions of the Government'}
###Answer the question from the input provided. Please answer from input only. ###Input: The National Art Library (also called Word and Image Department) at the Victoria and Albert Museum collection catalog used to be kept in different formats including printed exhibit catalogs, and card catalogs. A computer system called MODES cataloging system was used from the 1980s to the 1990s, but those electronic files were not available to the library users. All of the archival material at the National Art Library is using Encoded Archival Description (EAD). The Victoria and Albert Museum has a computer system but most of the items in the collection, unless those were newly accessioned into the collection, probably do not show up in the computer system. There is a feature on the Victoria and Albert Museum web-site called "Search the Collections," but not everything is listed there. The Victoria and Albert Museum’s Word and Image Department was under the same pressure being felt in archives around the world, to digitize their collection. A large scale digitization project began in 2007 in that department. That project was entitled the Factory Project to reference Andy Warhol and to create a factory to completely digitize the collection. The first step of the Factory Project was to take photographs utilizing digital cameras. The Word and Image Department had a collection of old photos but they were in black and white and in variant conditions, so new photos were shot. Those new photographs will be accessible to researchers to the Victoria and Albert Museum web-site. 15,000 images were taken during the first year of the Factory Project, including drawings, watercolors, computer-generated art, photographs, posters, and woodcuts. The second step of the Factory Project is to catalog everything. The third step of the Factory Project is to audit the collection. All of those items which were photographed and cataloged, must be audited to make sure everything listed as being in the collection was physically found during the creation of the Factory Project. The fourth goal of the Factory Project is conservation, which means performing some basic preventable procedures to those items in the department. There is a "Search the Collections" feature on the Victoria and Albert web-site. The main impetus behind the large-scale digitization project called the Factory Project was to list more items in the collections in those computer databases. Not only the work of British artists and craftspeople is on display, but also work produced by European artists that was purchased or commissioned by British patrons, as well as imports from Asia, including porcelain, cloth and wallpaper. Designers and artists whose work is on display in the galleries include Gian Lorenzo Bernini, Grinling Gibbons, Daniel Marot, Louis Laguerre, Antonio Verrio, Sir James Thornhill, William Kent, Robert Adam, Josiah Wedgwood, Matthew Boulton, Canova, Thomas Chippendale, Pugin, William Morris. Patrons who have influenced taste are also represented by works of art from their collections, these include: Horace Walpole (a major influence on the Gothic Revival), William Thomas Beckford and Thomas Hope. The galleries also link design to wider trends in British culture. For instance, design in the Tudor period was influenced by the spread of printed books and the work of European artists and craftsmen employed in Britain. In the Stuart period, increasing trade, especially with Asia, enabled wider access to luxuries like carpets, lacquered furniture, silks and porcelain. In the Georgian age there was increasing emphasis on entertainment and leisure. For example, the increase in tea drinking led to the production of tea paraphernalia such as china and caddies. European styles seen on the Grand Tour also influenced taste. As the Industrial Revolution took hold, the growth of mass production produced entrepreneurs such as Josiah Wedgwood, Matthew Boulton and Eleanor Coade. In the Victorian era new technology and machinery had a significant effect on manufacturing, and for the first time since the reformation, the Anglican and Roman Catholic Churches had a major effect on art and design such as the Gothic Revival. There is a large display on the Great Exhibition which, among other things, led to the founding of the V&A. In the later 19th century, the increasing backlash against industrialization, led by John Ruskin, contributed to the Arts and Crafts movement. One of the most dramatic parts of the museum is the Cast Courts in the sculpture wing, comprising two large, skylighted rooms two storeys high housing hundreds of plaster casts of sculptures, friezes and tombs. One of these is dominated by a full-scale replica of Trajan's Column, cut in half in order to fit under the ceiling. The other includes reproductions of various works of Italian Renaissance sculpture and architecture, including a full-size replica of Michelangelo's David. Replicas of two earlier Davids by Donatello's David and Verrocchio's David, are also included, although for conservation reasons the Verrocchio replica is displayed in a glass case. ###Question: What led to the production of tea paraphernalia such as china and caddies during the Georgian period? ###Answer: {'answer':'increase in tea drinking'}
###Answer the question from the input provided. Please answer from input only. ###Input: Following the treaty, King George III issued the Royal Proclamation of 1763 on October 7, 1763, which outlined the division and administration of the newly conquered territory, and to some extent continues to govern relations between the government of modern Canada and the First Nations. Included in its provisions was the reservation of lands west of the Appalachian Mountains to its Indian population, a demarcation that was at best a temporary impediment to a rising tide of westward-bound settlers. The proclamation also contained provisions that prevented civic participation by the Roman Catholic Canadians. When accommodations were made in the Quebec Act in 1774 to address this and other issues, religious concerns were raised in the largely Protestant Thirteen Colonies over the advance of "popery"; the Act maintained French Civil law, including the seigneurial system, a medieval code soon to be removed from France within a generation by the French Revolution. For many native populations, the elimination of French power in North America meant the disappearance of a strong ally and counterweight to British expansion, leading to their ultimate dispossession. The Ohio Country was particularly vulnerable to legal and illegal settlement due to the construction of military roads to the area by Braddock and Forbes. Although the Spanish takeover of the Louisiana territory (which was not completed until 1769) had modest repercussions, the British takeover of Spanish Florida resulted in the westward migration of tribes that did not want to do business with the British, and a rise in tensions between the Choctaw and the Creek, historic enemies whose divisions the British at times exploited. The change of control in Florida also prompted most of its Spanish Catholic population to leave. Most went to Cuba, including the entire governmental records from St. Augustine, although some Christianized Yamasee were resettled to the coast of Mexico. Philosophers in antiquity used the concept of force in the study of stationary and moving objects and simple machines, but thinkers such as Aristotle and Archimedes retained fundamental errors in understanding force. In part this was due to an incomplete understanding of the sometimes non-obvious force of friction, and a consequently inadequate view of the nature of natural motion. A fundamental error was the belief that a force is required to maintain motion, even at a constant velocity. Most of the previous misunderstandings about motion and force were eventually corrected by Galileo Galilei and Sir Isaac Newton. With his mathematical insight, Sir Isaac Newton formulated laws of motion that were not improved-on for nearly three hundred years. By the early 20th century, Einstein developed a theory of relativity that correctly predicted the action of forces on objects with increasing momenta near the speed of light, and also provided insight into the forces produced by gravitation and inertia. With modern insights into quantum mechanics and technology that can accelerate particles close to the speed of light, particle physics has devised a Standard Model to describe forces between particles smaller than atoms. The Standard Model predicts that exchanged particles called gauge bosons are the fundamental means by which forces are emitted and absorbed. Only four main interactions are known: in order of decreasing strength, they are: strong, electromagnetic, weak, and gravitational.:2–10:79 High-energy particle physics observations made during the 1970s and 1980s confirmed that the weak and electromagnetic forces are expressions of a more fundamental electroweak interaction. Aristotle provided a philosophical discussion of the concept of a force as an integral part of Aristotelian cosmology. In Aristotle's view, the terrestrial sphere contained four elements that come to rest at different "natural places" therein. Aristotle believed that motionless objects on Earth, those composed mostly of the elements earth and water, to be in their natural place on the ground and that they will stay that way if left alone. He distinguished between the innate tendency of objects to find their "natural place" (e.g., for heavy bodies to fall), which led to "natural motion", and unnatural or forced motion, which required continued application of a force. This theory, based on the everyday experience of how objects move, such as the constant application of a force needed to keep a cart moving, had conceptual trouble accounting for the behavior of projectiles, such as the flight of arrows. The place where the archer moves the projectile was at the start of the flight, and while the projectile sailed through the air, no discernible efficient cause acts on it. Aristotle was aware of this problem and proposed that the air displaced through the projectile's path carries the projectile to its target. This explanation demands a continuum like air for change of place in general. ###Question: Where did many Spanish Catholic move after British takeover in Florida? ###Answer: {'answer':'Most went to Cuba,'}
###Answer the question from the input provided. Please answer from input only. ###Input: Ctenophores used to be regarded as "dead ends" in marine food chains because it was thought their low ratio of organic matter to salt and water made them a poor diet for other animals. It is also often difficult to identify the remains of ctenophores in the guts of possible predators, although the combs sometimes remain intact long enough to provide a clue. Detailed investigation of chum salmon, Oncorhynchus keta, showed that these fish digest ctenophores 20 times as fast as an equal weight of shrimps, and that ctenophores can provide a good diet if there are enough of them around. Beroids prey mainly on other ctenophores. Some jellyfish and turtles eat large quantities of ctenophores, and jellyfish may temporarily wipe out ctenophore populations. Since ctenophores and jellyfish often have large seasonal variations in population, most fish that prey on them are generalists, and may have a greater effect on populations than the specialist jelly-eaters. This is underlined by an observation of herbivorous fishes deliberately feeding on gelatinous zooplankton during blooms in the Red Sea. The larvae of some sea anemones are parasites on ctenophores, as are the larvae of some flatworms that parasitize fish when they reach adulthood. On the other hand, in the late 1980s the Western Atlantic ctenophore Mnemiopsis leidyi was accidentally introduced into the Black Sea and Sea of Azov via the ballast tanks of ships, and has been blamed for causing sharp drops in fish catches by eating both fish larvae and small crustaceans that would otherwise feed the adult fish. Mnemiopsis is well equipped to invade new territories (although this was not predicted until after it so successfully colonized the Black Sea), as it can breed very rapidly and tolerate a wide range of water temperatures and salinities. The impact was increased by chronic overfishing, and by eutrophication that gave the entire ecosystem a short-term boost, causing the Mnemiopsis population to increase even faster than normal – and above all by the absence of efficient predators on these introduced ctenophores. Mnemiopsis populations in those areas were eventually brought under control by the accidental introduction of the Mnemiopsis-eating North American ctenophore Beroe ovata, and by a cooling of the local climate from 1991 to 1993, which significantly slowed the animal's metabolism. However the abundance of plankton in the area seems unlikely to be restored to pre-Mnemiopsis levels. Because of their soft, gelatinous bodies, ctenophores are extremely rare as fossils, and fossils that have been interpreted as ctenophores have been found only in lagerstätten, places where the environment was exceptionally suited to preservation of soft tissue. Until the mid-1990s only two specimens good enough for analysis were known, both members of the crown group, from the early Devonian (Emsian) period. Three additional putative species were then found in the Burgess Shale and other Canadian rocks of similar age, about 505 million years ago in the mid-Cambrian period. All three apparently lacked tentacles but had between 24 and 80 comb rows, far more than the 8 typical of living species. They also appear to have had internal organ-like structures unlike anything found in living ctenophores. One of the fossil species first reported in 1996 had a large mouth, apparently surrounded by a folded edge that may have been muscular. Evidence from China a year later suggests that such ctenophores were widespread in the Cambrian, but perhaps very different from modern species – for example one fossil's comb-rows were mounted on prominent vanes. The Ediacaran Eoandromeda could putatively represent a comb jelly. The early Cambrian sessile frond-like fossil Stromatoveris, from China's Chengjiang lagerstätte and dated to about 515 million years ago, is very similar to Vendobionta of the preceding Ediacaran period. De-Gan Shu, Simon Conway Morris et al. found on its branches what they considered rows of cilia, used for filter feeding. They suggested that Stromatoveris was an evolutionary "aunt" of ctenophores, and that ctenophores originated from sessile animals whose descendants became swimmers and changed the cilia from a feeding mechanism to a propulsion system. The relationship of ctenophores to the rest of Metazoa is very important to our understanding of the early evolution of animals and the origin of multicellularity. It has been the focus of debate for many years. Ctenophores have been purported to be the sister lineage to the Bilateria, sister to the Cnidaria, sister to Cnidaria, Placozoa and Bilateria, and sister to all other animal phyla. A series of studies that looked at the presence and absence of members of gene families and signalling pathways (e.g., homeoboxes, nuclear receptors, the Wnt signaling pathway, and sodium channels) showed evidence congruent with the latter two scenarios, that ctenophores are either sister to Cnidaria, Placozoa and Bilateria or sister to all other animal phyla. Several more recent studies comparing complete sequenced genomes of ctenophores with other sequenced animal genomes have also supported ctenophores as the sister lineage to all other animals. This position would suggest that neural and muscle cell types were either lost in major animal lineages (e.g., Porifera) or that they evolved independently in the ctenophore lineage. However, other researchers have argued that the placement of Ctenophora as sister to all other animals is a statistical anomaly caused by the high rate of evolution in ctenophore genomes, and that Porifera (sponges) is the earliest-diverging animal phylum instead. Ctenophores and sponges are also the only known animal phyla that lack any true hox genes. ###Question: Why was it thought that ctenophores were a poor diet for other animals? ###Answer: {'answer':'their low ratio of organic matter to salt and water'}
###Answer the question from the input provided. Please answer from input only. ###Input: A second period of international expansion is linked to that of the ESPN network in the 1990s, and policies enacted in the 2000s by Disney Media Networks (which included the expansion of several of the company's U.S.-based cable networks including Disney Channel and its spinoffs Toon Disney, Playhouse Disney and Jetix; although Disney also sold its 33% stake in European sports channel Eurosport for $155 million in June 2000). In contrast to Disney's other channels, ABC is broadcast in the United States, although the network's programming is syndicated in many countries. The policy regarding wholly owned international networks was revived in 2004 when on September 27 of that year, ABC announced the launch of ABC1, a free-to-air channel in the United Kingdom owned by the ABC Group. However, on September 8, 2007, Disney announced that it would discontinue ABC1 citing to the channel's inability to attain sustainable viewership. With ABC1's shutdown that October, the company's attempt to develop ABC International were discontinued. The idea was to create a network of wholly and partially owned channels, and affiliates to rebroadcast the network's programs. In 1959, this rerun activity was completed with program syndication, with ABC Films selling programs to networks not owned by ABC. The arrival of satellite television ended the need for ABC to hold interests in other countries; many governments also wanted to increase their independence and strengthen legislation to limit foreign ownership of broadcasting properties. As a result, ABC was forced to sell all of its interests in international networks, mainly in Japan and Latin America, in the 1970s. The first attempts to internationalize the ABC television network date back to the 1950s, after Leonard Goldenson, following the United Paramount Theatres model, tried to use on ABC the same strategies he had made in expanding UPT's theater operation to the international market. Leonard Goldenson said that ABC's first international activity was broadcasting the coronation of Queen Elizabeth II in June 1953; CBS and NBC were unable to cover the coronation live due to respective issues with technical problems and flight delays. NBC's plane landed in Latin America[where?], leading ABC to learn of subsidiaries in that region. Goldenson tried international investing, having ABC invest in the Latin American market, acquiring a 51% interest in a network covering Central America. Goldenson also cited interest in Japan in the early 1950s, acquiring a 5% stake in two new domestic networks, the Mainichi Broadcasting System in 1951 and Nihon Educational Television in 1957. Goldenson also invested in broadcasting properties in Beirut in the mid-1960s. ABC currently holds the broadcast rights to the Academy Awards, Emmy Awards (which are rotated across all four major networks on a year-to-year basis), American Music Awards, Disney Parks Christmas Day Parade, Tournament of Roses Parade, Country Music Association Awards and the CMA Music Festival. Since 2000, ABC has also owned the television rights to most of the Peanuts television specials, having acquired the broadcast rights from CBS, which originated the specials in 1965 with the debut of A Charlie Brown Christmas (other Peanuts specials broadcast annually by ABC, including A Charlie Brown Christmas, include It's the Great Pumpkin, Charlie Brown and A Charlie Brown Thanksgiving). Since 1974, ABC has generally aired Dick Clark's New Year's Rockin' Eve on New Year's Eve (hosted first by its creator Dick Clark, and later by his successor Ryan Seacrest); the only exception was in 1999, when ABC put it on a one-year hiatus to provide coverage of the international millennium festivities, though Clark's traditional countdown from Times Square was still featured within the coverage. ABC has also aired the Miss America pageant from 1954 to 1956, 1997 to 2005 (with the television rights being assumed by cable channel TLC in 2006, when the pageant moved from its longtime homebase in Atlantic City to Las Vegas, before returning to Atlantic City in 2013) and since 2011. Under its current contract with the Miss America Organization, ABC will continue to broadcast the pageant through 2016. ###Question: When did ABC Films begin selling programs to other networks? ###Answer: {'answer':'1959'}
###Answer the question from the input provided. Please answer from input only. ###Input: He came to power by uniting many of the nomadic tribes of Northeast Asia. After founding the Mongol Empire and being proclaimed "Genghis Khan", he started the Mongol invasions that resulted in the conquest of most of Eurasia. These included raids or invasions of the Qara Khitai, Caucasus, Khwarezmid Empire, Western Xia and Jin dynasties. These campaigns were often accompanied by wholesale massacres of the civilian populations – especially in the Khwarezmian and Xia controlled lands. By the end of his life, the Mongol Empire occupied a substantial portion of Central Asia and China. Before Genghis Khan died, he assigned Ögedei Khan as his successor and split his empire into khanates among his sons and grandsons. He died in 1227 after defeating the Western Xia. He was buried in an unmarked grave somewhere in Mongolia at an unknown location. His descendants extended the Mongol Empire across most of Eurasia by conquering or creating vassal states out of all of modern-day China, Korea, the Caucasus, Central Asia, and substantial portions of modern Eastern Europe, Russia, and Southwest Asia. Many of these invasions repeated the earlier large-scale slaughters of local populations. As a result, Genghis Khan and his empire have a fearsome reputation in local histories. Temüjin was probably born in 1162 in Delüün Boldog, near Burkhan Khaldun mountain and the Onon and Kherlen rivers in modern-day northern Mongolia, not far from the current capital Ulaanbaatar. The Secret History of the Mongols reports that Temüjin was born with a blood clot grasped in his fist, a traditional sign that he was destined to become a great leader. He was the second-oldest son of his father Yesügei, a Khamag Mongol's major chief of the Kiyad and an ally of Toghrul Khan of the Keraite tribe, and the oldest son of his mother Hoelun. According to the Secret History, Temüjin was named after a Tatar chieftain, Temüjin-üge, whom his father had just captured. Temüjin had three brothers named Hasar, Hachiun, and Temüge, and one sister named Temülen, as well as two half-brothers named Begter and Belgutei. Like many of the nomads of Mongolia, Temüjin's early life was difficult. His father arranged a marriage for him, and at nine years of age he was delivered by his father to the family of his future wife Börte, who was a member of the tribe Khongirad. Temüjin was to live there in service to Dai Setsen, the head of the new household, until he reached the marriageable age of 12. For the next several years, Hoelun and her children lived in poverty, surviving primarily on wild fruits and ox carcasses, marmots, and other small game killed by Temüjin and his brothers. Begter, Temujin's older half-brother, began to exercise the power of the eldest male in the family and eventually Temujin's mother Hoelun (not Begter's mother) would have to accept him as her husband if and when he became an adult. Temujin's resentment erupted during one hunting excursion that Temüjin and his brother Khasar killed their half-brother Begter. ###Question: Where was Genghis Khan likely born? ###Answer: {'answer':'Delüün Boldog'}
###Answer the question from the input provided. Please answer from input only. ###Input: In the aftermath of generally poor French results in most theaters of the Seven Years' War in 1758, France's new foreign minister, the duc de Choiseul, decided to focus on an invasion of Britain, to draw British resources away from North America and the European mainland. The invasion failed both militarily and politically, as Pitt again planned significant campaigns against New France, and sent funds to Britain's ally on the mainland, Prussia, and the French Navy failed in the 1759 naval battles at Lagos and Quiberon Bay. In one piece of good fortune, some French supply ships managed to depart France, eluding the British blockade of the French coast. British victories continued in all theaters in the Annus Mirabilis of 1759, when they finally captured Ticonderoga, James Wolfe defeated Montcalm at Quebec (in a battle that claimed the lives of both commanders), and victory at Fort Niagara successfully cut off the French frontier forts further to the west and south. The victory was made complete in 1760 when, despite losing outside Quebec City in the Battle of Sainte-Foy, the British were able to prevent the arrival of French relief ships in the naval Battle of the Restigouche while armies marched on Montreal from three sides. In September 1760, and before any hostilities erupted, Governor Vaudreuil negotiated from Montreal a capitulation with General Amherst. Amherst granted Vaudreuil's request that any French residents who chose to remain in the colony would be given freedom to continue worshiping in their Roman Catholic tradition, continued ownership of their property, and the right to remain undisturbed in their homes. The British provided medical treatment for the sick and wounded French soldiers and French regular troops were returned to France aboard British ships with an agreement that they were not to serve again in the present war. The war in North America officially ended with the signing of the Treaty of Paris on 10 February 1763, and war in the European theatre of the Seven Years' War was settled by the Treaty of Hubertusburg on 15 February 1763. The British offered France the choice of surrendering either its continental North American possessions east of the Mississippi or the Caribbean islands of Guadeloupe and Martinique, which had been occupied by the British. France chose to cede the former, but was able to negotiate the retention of Saint Pierre and Miquelon, two small islands in the Gulf of St. Lawrence, along with fishing rights in the area. They viewed the economic value of the Caribbean islands' sugar cane to be greater and easier to defend than the furs from the continent. The contemporaneous French philosopher Voltaire referred to Canada disparagingly as nothing more than a few acres of snow. The British, for their part, were happy to take New France, as defence of their North American colonies would no longer be an issue and also because they already had ample places from which to obtain sugar. Spain, which traded Florida to Britain to regain Cuba, also gained Louisiana, including New Orleans, from France in compensation for its losses. Great Britain and Spain also agreed that navigation on the Mississippi River was to be open to vessels of all nations. Britain gained control of French Canada and Acadia, colonies containing approximately 80,000 primarily French-speaking Roman Catholic residents. The deportation of Acadians beginning in 1755 resulted in land made available to migrants from Europe and the colonies further south. The British resettled many Acadians throughout its North American provinces, but many went to France, and some went to New Orleans, which they had expected to remain French. Some were sent to colonize places as diverse as French Guiana and the Falkland Islands; these latter efforts were unsuccessful. Others migrated to places like Saint-Domingue, and fled to New Orleans after the Haitian Revolution. The Louisiana population contributed to the founding of the modern Cajun population. (The French word "Acadien" evolved to "Cadien", then to "Cajun".) ###Question: In Sept 1760 who negotiated a capitulation from Montreal? ###Answer: {'answer':'Governor Vaudreuil'}
###Answer the question from the input provided. Please answer from input only. ###Input: Even though some proofs of complexity-theoretic theorems regularly assume some concrete choice of input encoding, one tries to keep the discussion abstract enough to be independent of the choice of encoding. This can be achieved by ensuring that different representations can be transformed into each other efficiently. In 1967, Manuel Blum developed an axiomatic complexity theory based on his axioms and proved an important result, the so-called, speed-up theorem. The field really began to flourish in 1971 when the US researcher Stephen Cook and, working independently, Leonid Levin in the USSR, proved that there exist practically relevant problems that are NP-complete. In 1972, Richard Karp took this idea a leap forward with his landmark paper, "Reducibility Among Combinatorial Problems", in which he showed that 21 diverse combinatorial and graph theoretical problems, each infamous for its computational intractability, are NP-complete. The role of teacher is often formal and ongoing, carried out at a school or other place of formal education. In many countries, a person who wishes to become a teacher must first obtain specified professional qualifications or credentials from a university or college. These professional qualifications may include the study of pedagogy, the science of teaching. Teachers, like other professionals, may have to continue their education after they qualify, a process known as continuing professional development. Teachers may use a lesson plan to facilitate student learning, providing a course of study which is called the curriculum. A teacher's role may vary among cultures. Teachers may provide instruction in literacy and numeracy, craftsmanship or vocational training, the arts, religion, civics, community roles, or life skills. In some countries, formal education can take place through home schooling. Informal learning may be assisted by a teacher occupying a transient or ongoing role, such as a family member, or by anyone with knowledge or skills in the wider community setting. ###Question: What is the concrete choice typically assumed by most complexity-theoretic theorems? ###Answer: {'answer':'input encoding'}
###Answer the question from the input provided. Please answer from input only. ###Input: Also part of the library is the aforementioned Selznick library, the Cinerama Productions/Palomar theatrical library and the Selmur Productions catalog that the network acquired some years back, and the in-house productions it continues to produce (such as America's Funniest Home Videos, General Hospital, and ABC News productions), although Disney–ABC Domestic Television (formerly known as Buena Vista Television) handles domestic television distribution, while Disney–ABC International Television (formerly known as Buena Vista International Television) handles international television distribution. Since its inception, ABC has had many affiliated stations, which include WABC-TV and WPVI-TV, the first two stations to carry the network's programming. As of March 2015[update], ABC has eight owned-and-operated stations, and current and pending affiliation agreements with 235 additional television stations encompassing 49 states, the District of Columbia, four U.S. possessions, Bermuda and Saba; this makes ABC the largest U.S. broadcast television network by total number of affiliates. The network has an estimated national reach of 96.26% of all households in the United States (or 300,794,157 Americans with at least one television set). The ABC logo has evolved many times since the network's creation in 1943. The network's first logo, introduced in 1946, consisted of a television screen containing the letters "T" and "V", with a vertical ABC microphone in the center, referencing the network's roots in radio. When the ABC-UPT merger was finalized in 1953, the network introduced a new logo based on the seal of the Federal Communications Commission, with the letters "ABC" enclosed in a circular shield surmounted by the bald eagle. In 1957, just before the television network began its first color broadcasts, the ABC logo consisted of a tiny lowercase "abc" in the center of a large lowercase letter a, a design known as the "ABC Circle A". With the 2011 cancellation of Supernanny, Extreme Makeover: Home Edition became the only remaining program on the network's schedule that was broadcast in 4:3 standard definition. All of the network's programming has been presented in HD since January 2012 (with the exception of certain holiday specials produced prior to 2005 – such as the Peanuts specials and Rudolph's Shiny New Year – which continue to be presented in 4:3 SD), when Extreme Makeover: Home Edition ended its run as a regular series and One Life to Live (which had been presented in 16:9 standard definition since 2010) also ended its ABC run. The affiliate-syndicated Saturday morning E/I block Litton's Weekend Aventure is also broadcast in HD, and was the first children's program block on any U.S. broadcast network to feature programs available in the format upon its September 2011 debut. ABC's master feed is transmitted in 720p high definition, the native resolution format for The Walt Disney Company's U.S. television properties. However, most of Hearst Television's 16 ABC-affiliated stations transmit the network's programming in 1080i HD, while 11 other affiliates owned by various companies carry the network feed in 480i standard definition either due to technical considerations for affiliates of other major networks that carry ABC programming on a digital subchannel or because a primary feed ABC affiliate has not yet upgraded their transmission equipment to allow content to be presented in HD. ###Question: What ABC division handles domestic television distribution? ###Answer: {'answer':'Disney–ABC Domestic Television'}
###Answer the question from the input provided. Please answer from input only. ###Input: There are also many places commemorating the heroic history of Warsaw. Pawiak, an infamous German Gestapo prison now occupied by a Mausoleum of Memory of Martyrdom and the museum, is only the beginning of a walk in the traces of Heroic City. The Warsaw Citadel, an impressive 19th-century fortification built after the defeat of the November Uprising, was a place of martyr for the Poles. Another important monument, the statue of Little Insurgent located at the ramparts of the Old Town, commemorates the children who served as messengers and frontline troops in the Warsaw Uprising, while the impressive Warsaw Uprising Monument by Wincenty Kućma was erected in memory of the largest insurrection of World War II. Other green spaces in the city include the Botanic Garden and the University Library garden. They have extensive botanical collection of rare domestic and foreign plants, while a palm house in the New Orangery displays plants of subtropics from all over the world. Besides, within the city borders, there are also: Pole Mokotowskie (a big park in the northern Mokotów, where was the first horse racetrack and then the airport), Park Ujazdowski (close to the Sejm and John Lennon street), Park of Culture and Rest in Powsin, by the southern city border, Park Skaryszewski by the right Vistula bank, in Praga. The oldest park in Praga, the Praga Park, was established in 1865–1871 and designed by Jan Dobrowolski. In 1927 a zoological garden (Ogród Zoologiczny) was established on the park grounds, and in 1952 a bear run, still open today. The flora of the city may be considered very rich in species. The species richness is mainly due to the location of Warsaw within the border region of several big floral regions comprising substantial proportions of close-to-wilderness areas (natural forests, wetlands along the Vistula) as well as arable land, meadows and forests. Bielany Forest, located within the borders of Warsaw, is the remaining part of the Masovian Primeval Forest. Bielany Forest nature reserve is connected with Kampinos Forest. It is home to rich fauna and flora. Within the forest there are three cycling and walking trails. Other big forest area is Kabaty Forest by the southern city border. Warsaw has also two botanic gardens: by the Łazienki park (a didactic-research unit of the University of Warsaw) as well as by the Park of Culture and Rest in Powsin (a unit of the Polish Academy of Science). In 1939, c. 1,300,000 people lived in Warsaw, but in 1945 – only 420,000. During the first years after the war, the population growth was c. 6%, so shortly the city started to suffer from the lack of flats and of areas for new houses. The first remedial measure was the Warsaw area enlargement (1951) – but the city authorities were still forced to introduce residency registration limitations: only the spouses and children of the permanent residents as well as some persons of public importance (like renowned specialists) were allowed to get the registration, hence halving the population growth in the following years. It also bolstered some kind of conviction among Poles that Varsovians thought of themselves as better only because they lived in the capital. Unfortunately this belief still lives on in Poland (although not as much as it used to be) – even though since 1990 there are no limitations to residency registration anymore. Throughout its existence, Warsaw has been a multi-cultural city. According to the 1901 census, out of 711,988 inhabitants 56.2% were Catholics, 35.7% Jews, 5% Greek orthodox Christians and 2.8% Protestants. Eight years later, in 1909, there were 281,754 Jews (36.9%), 18,189 Protestants (2.4%) and 2,818 Mariavites (0.4%). This led to construction of hundreds of places of religious worship in all parts of the town. Most of them were destroyed in the aftermath of the Warsaw Uprising of 1944. After the war, the new communist authorities of Poland discouraged church construction and only a small number were rebuilt. ###Question: How many people lived in Warsaw in 1939? ###Answer: {'answer':'1,300,000'}
###Answer the question from the input provided. Please answer from input only. ###Input: Research shows that student motivation and attitudes towards school are closely linked to student-teacher relationships. Enthusiastic teachers are particularly good at creating beneficial relations with their students. Their ability to create effective learning environments that foster student achievement depends on the kind of relationship they build with their students. Useful teacher-to-student interactions are crucial in linking academic success with personal achievement. Here, personal success is a student's internal goal of improving himself, whereas academic success includes the goals he receives from his superior. A teacher must guide his student in aligning his personal goals with his academic goals. Students who receive this positive influence show stronger self-confidence and greater personal and academic success than those without these teacher interactions. Students are likely to build stronger relations with teachers who are friendly and supportive and will show more interest in courses taught by these teachers. Teachers that spend more time interacting and working directly with students are perceived as supportive and effective teachers. Effective teachers have been shown to invite student participation and decision making, allow humor into their classroom, and demonstrate a willingness to play. The way a teacher promotes the course they are teaching, the more the student will get out of the subject matter. The three most important aspects of teacher enthusiasm are enthusiasm about teaching, enthusiasm about the students, and enthusiasm about the subject matter. A teacher must enjoy teaching. If they do not enjoy what they are doing, the students will be able to tell. They also must enjoy being around their students. A teacher who cares for their students is going to help that individual succeed in their life in the future. The teacher also needs to be enthusiastic about the subject matter they are teaching. For example, a teacher talking about chemistry needs to enjoy the art of chemistry and show that to their students. A spark in the teacher may create a spark of excitement in the student as well. An enthusiastic teacher has the ability to be very influential in the young students life. Misconduct by teachers, especially sexual misconduct, has been getting increased scrutiny from the media and the courts. A study by the American Association of University Women reported that 9.6% of students in the United States claim to have received unwanted sexual attention from an adult associated with education; be they a volunteer, bus driver, teacher, administrator or other adult; sometime during their educational career. A study in England showed a 0.3% prevalence of sexual abuse by any professional, a group that included priests, religious leaders, and case workers as well as teachers. It is important to note, however, that the British study referenced above is the only one of its kind and consisted of "a random ... probability sample of 2,869 young people between the ages of 18 and 24 in a computer-assisted study" and that the questions referred to "sexual abuse with a professional," not necessarily a teacher. It is therefore logical to conclude that information on the percentage of abuses by teachers in the United Kingdom is not explicitly available and therefore not necessarily reliable. The AAUW study, however, posed questions about fourteen types of sexual harassment and various degrees of frequency and included only abuses by teachers. "The sample was drawn from a list of 80,000 schools to create a stratified two-stage sample design of 2,065 8th to 11th grade students"Its reliability was gauged at 95% with a 4% margin of error. ###Question: Students show more interest in classes taught by what type of teachers? ###Answer: {'answer':'friendly and supportive'}
###Answer the question from the input provided. Please answer from input only. ###Input: Around 2.5 million years ago (ending 11,600 years ago) was the geological period of the Ice Ages. Since approximately 600,000 years ago, six major Ice Ages have occurred, in which sea level dropped 120 m (390 ft) and much of the continental margins became exposed. In the Early Pleistocene, the Rhine followed a course to the northwest, through the present North Sea. During the so-called Anglian glaciation (~450,000 yr BP, marine oxygen isotope stage 12), the northern part of the present North Sea was blocked by the ice and a large lake developed, that overflowed through the English Channel. This caused the Rhine's course to be diverted through the English Channel. Since then, during glacial times, the river mouth was located offshore of Brest, France and rivers, like the Thames and the Seine, became tributaries to the Rhine. During interglacials, when sea level rose to approximately the present level, the Rhine built deltas, in what is now the Netherlands. The last glacial ran from ~74,000 (BP = Before Present), until the end of the Pleistocene (~11,600 BP). In northwest Europe, it saw two very cold phases, peaking around 70,000 BP and around 29,000–24,000 BP. The last phase slightly predates the global last ice age maximum (Last Glacial Maximum). During this time, the lower Rhine flowed roughly west through the Netherlands and extended to the southwest, through the English Channel and finally, to the Atlantic Ocean. The English Channel, the Irish Channel and most of the North Sea were dry land, mainly because sea level was approximately 120 m (390 ft) lower than today. Most of the Rhine's current course was not under the ice during the last Ice Age; although, its source must still have been a glacier. A tundra, with Ice Age flora and fauna, stretched across middle Europe, from Asia to the Atlantic Ocean. Such was the case during the Last Glacial Maximum, ca. 22,000–14,000 yr BP, when ice-sheets covered Scandinavia, the Baltics, Scotland and the Alps, but left the space between as open tundra. The loess or wind-blown dust over that tundra, settled in and around the Rhine Valley, contributing to its current agricultural usefulness. As northwest Europe slowly began to warm up from 22,000 years ago onward, frozen subsoil and expanded alpine glaciers began to thaw and fall-winter snow covers melted in spring. Much of the discharge was routed to the Rhine and its downstream extension. Rapid warming and changes of vegetation, to open forest, began about 13,000 BP. By 9000 BP, Europe was fully forested. With globally shrinking ice-cover, ocean water levels rose and the English Channel and North Sea re-inundated. Meltwater, adding to the ocean and land subsidence, drowned the former coasts of Europe transgressionally. Since 7500 yr ago, a situation with tides and currents, very similar to present has existed. Rates of sea-level rise had dropped so far, that natural sedimentation by the Rhine and coastal processes together, could compensate the transgression by the sea; in the last 7000 years, the coast line was roughly at the same location. In the southern North Sea, due to ongoing tectonic subsidence, the sea level is still rising, at the rate of about 1–3 cm (0.39–1.18 in) per century (1 metre or 39 inches in last 3000 years). ###Question: When did Europe slowly begin to warm up from the last Ice Age? ###Answer: {'answer':'22,000 years ago'}
###Answer the question from the input provided. Please answer from input only. ###Input: Tesla was a good friend of Francis Marion Crawford, Robert Underwood Johnson, Stanford White, Fritz Lowenstein, George Scherff, and Kenneth Swezey. In middle age, Tesla became a close friend of Mark Twain; they spent a lot of time together in his lab and elsewhere. Twain notably described Tesla's induction motor invention as "the most valuable patent since the telephone." In the late 1920s, Tesla also befriended George Sylvester Viereck, a poet, writer, mystic, and later, a Nazi propagandist. Tesla occasionally attended dinner parties held by Viereck and his wife. Tesla could be harsh at times and openly expressed disgust for overweight people, such as when he fired a secretary because of her weight.:110 He was quick to criticize clothing; on several occasions, Tesla directed a subordinate to go home and change her dress.:33 Tesla exhibited a pre-atomic understanding of physics in his writings; he disagreed with the theory of atoms being composed of smaller subatomic particles, stating there was no such thing as an electron creating an electric charge (he believed that if electrons existed at all, they were some fourth state of matter or "sub-atom" that could only exist in an experimental vacuum and that they had nothing to do with electricity).:249 Tesla believed that atoms are immutable—they could not change state or be split in any way. He was a believer in the 19th century concept of an all pervasive "ether" that transmitted electrical energy. Tesla was generally antagonistic towards theories about the conversion of matter into energy.:247 He was also critical of Einstein's theory of relativity, saying: Tesla claimed to have developed his own physical principle regarding matter and energy that he started working on in 1892, and in 1937, at age 81, claimed in a letter to have completed a "dynamic theory of gravity" that "[would] put an end to idle speculations and false conceptions, as that of curved space." He stated that the theory was "worked out in all details" and that he hoped to soon give it to the world. Further elucidation of his theory was never found in his writings.:309 ###Question: What famous writer was Tesla's good friend? ###Answer: {'answer':'Mark Twain'}
###Answer the question from the input provided. Please answer from input only. ###Input: The plague repeatedly returned to haunt Europe and the Mediterranean throughout the 14th to 17th centuries. According to Biraben, the plague was present somewhere in Europe in every year between 1346 and 1671. The Second Pandemic was particularly widespread in the following years: 1360–63; 1374; 1400; 1438–39; 1456–57; 1464–66; 1481–85; 1500–03; 1518–31; 1544–48; 1563–66; 1573–88; 1596–99; 1602–11; 1623–40; 1644–54; and 1664–67. Subsequent outbreaks, though severe, marked the retreat from most of Europe (18th century) and northern Africa (19th century). According to Geoffrey Parker, "France alone lost almost a million people to the plague in the epidemic of 1628–31." In England, in the absence of census figures, historians propose a range of preincident population figures from as high as 7 million to as low as 4 million in 1300, and a postincident population figure as low as 2 million. By the end of 1350, the Black Death subsided, but it never really died out in England. Over the next few hundred years, further outbreaks occurred in 1361–62, 1369, 1379–83, 1389–93, and throughout the first half of the 15th century. An outbreak in 1471 took as much as 10–15% of the population, while the death rate of the plague of 1479–80 could have been as high as 20%. The most general outbreaks in Tudor and Stuart England seem to have begun in 1498, 1535, 1543, 1563, 1589, 1603, 1625, and 1636, and ended with the Great Plague of London in 1665. In 1466, perhaps 40,000 people died of the plague in Paris. During the 16th and 17th centuries, the plague was present in Paris around 30 per cent of the time. The Black Death ravaged Europe for three years before it continued on into Russia, where the disease was present somewhere in the country 25 times between 1350 to 1490. Plague epidemics ravaged London in 1563, 1593, 1603, 1625, 1636, and 1665, reducing its population by 10 to 30% during those years. Over 10% of Amsterdam's population died in 1623–25, and again in 1635–36, 1655, and 1664. Plague occurred in Venice 22 times between 1361 and 1528. The plague of 1576–77 killed 50,000 in Venice, almost a third of the population. Late outbreaks in central Europe included the Italian Plague of 1629–1631, which is associated with troop movements during the Thirty Years' War, and the Great Plague of Vienna in 1679. Over 60% of Norway's population died in 1348–50. The last plague outbreak ravaged Oslo in 1654. In the first half of the 17th century, a plague claimed some 1.7 million victims in Italy, or about 14% of the population. In 1656, the plague killed about half of Naples' 300,000 inhabitants. More than 1.25 million deaths resulted from the extreme incidence of plague in 17th-century Spain. The plague of 1649 probably reduced the population of Seville by half. In 1709–13, a plague epidemic that followed the Great Northern War (1700–21, Sweden v. Russia and allies) killed about 100,000 in Sweden, and 300,000 in Prussia. The plague killed two-thirds of the inhabitants of Helsinki, and claimed a third of Stockholm's population. Europe's last major epidemic occurred in 1720 in Marseille. The Black Death ravaged much of the Islamic world. Plague was present in at least one location in the Islamic world virtually every year between 1500 and 1850. Plague repeatedly struck the cities of North Africa. Algiers lost 30 to 50 thousand inhabitants to it in 1620–21, and again in 1654–57, 1665, 1691, and 1740–42. Plague remained a major event in Ottoman society until the second quarter of the 19th century. Between 1701 and 1750, thirty-seven larger and smaller epidemics were recorded in Constantinople, and an additional thirty-one between 1751 and 1800. Baghdad has suffered severely from visitations of the plague, and sometimes two-thirds of its population has been wiped out. ###Question: When did the plague return to Europe? ###Answer: {'answer':'throughout the 14th to 17th centuries'}
###Answer the question from the input provided. Please answer from input only. ###Input: In 1564 a group of Norman Huguenots under the leadership of Jean Ribault established the small colony of Fort Caroline on the banks of the St. Johns River in what is today Jacksonville, Florida. The effort was the first at any permanent European settlement in the present-day continental United States, but survived only a short time. A September 1565 French naval attack against the new Spanish colony at St. Augustine failed when its ships were hit by a hurricane on their way to the Spanish encampment at Fort Matanzas. Hundreds of French soldiers were stranded and surrendered to the numerically inferior Spanish forces led by Pedro Menendez. Menendez proceeded to massacre the defenseless Huguenots, after which he wiped out the Fort Caroline garrison. French Huguenots made two attempts to establish a haven in North America. In 1562, naval officer Jean Ribault led an expedition that explored Florida and the present-day Southeastern U.S., and founded the outpost of Charlesfort on Parris Island, South Carolina. The Wars of Religion precluded a return voyage, and the outpost was abandoned. In 1564, Ribault's former lieutenant René Goulaine de Laudonnière launched a second voyage to build a colony; he established Fort Caroline in what is now Jacksonville, Florida. War at home again precluded a resupply mission, and the colony struggled. In 1565 the Spanish decided to enforce their claim to La Florida, and sent Pedro Menéndez de Avilés, who established the settlement of St. Augustine near Fort Caroline. Menéndez' forces routed the French and executed most of the Protestant captives. In 1700 several hundred French Huguenots migrated from England to the colony of Virginia, where the English Crown had promised them land grants in Lower Norfolk County. When they arrived, colonial authorities offered them instead land 20 miles above the falls of the James River, at the abandoned Monacan village known as Manakin Town, now in Powhatan County. Some settlers landed in present-day Chesterfield County. On 12 May 1705, the Virginia General Assembly passed an act to naturalise the 148 Huguenots still resident at Manakintown. Of the original 390 settlers in the isolated settlement, many had died; others lived outside town on farms in the English style; and others moved to different areas. Gradually they intermarried with their English neighbors. Through the 18th and 19th centuries, descendants of the French migrated west into the Piedmont, and across the Appalachian Mountains into the West of what became Kentucky, Tennessee, Missouri, and other states. In the Manakintown area, the Huguenot Memorial Bridge across the James River and Huguenot Road were named in their honor, as were many local features, including several schools, including Huguenot High School. Some Huguenots fought in the Low Countries alongside the Dutch against Spain during the first years of the Dutch Revolt (1568–1609). The Dutch Republic rapidly became a destination for Huguenot exiles. Early ties were already visible in the "Apologie" of William the Silent, condemning the Spanish Inquisition, which was written by his court minister, the Huguenot Pierre L'Oyseleur, lord of Villiers. Louise de Coligny, daughter of the murdered Huguenot leader Gaspard de Coligny, married William the Silent, leader of the Dutch (Calvinist) revolt against Spanish (Catholic) rule. As both spoke French in daily life, their court church in the Prinsenhof in Delft held services in French. The practice has continued to the present day. The Prinsenhof is one of the 14 active Walloon churches of the Dutch Reformed Church. The ties between Huguenots and the Dutch Republic's military and political leadership, the House of Orange-Nassau, which existed since the early days of the Dutch Revolt, helped support the many early settlements of Huguenots in the Dutch Republic's colonies. They settled at the Cape of Good Hope in South Africa and New Netherland in North America. Both before and after the 1708 passage of the Foreign Protestants Naturalization Act, an estimated 50,000 Protestant Walloons and Huguenots fled to England, with many moving on to Ireland and elsewhere. In relative terms, this was one of the largest waves of immigration ever of a single ethnic community to Britain. Andrew Lortie (born André Lortie), a leading Huguenot theologian and writer who led the exiled community in London, became known for articulating their criticism of the Pope and the doctrine of transubstantiation during Mass. ###Question: When was the Dutch Revolt? ###Answer: {'answer':'1568–1609'}
###Answer the question from the input provided. Please answer from input only. ###Input: In 1874, Tesla evaded being drafted into the Austro-Hungarian Army in Smiljan by running away to Tomingaj, near Gračac. There, he explored the mountains in hunter's garb. Tesla said that this contact with nature made him stronger, both physically and mentally. He read many books while in Tomingaj, and later said that Mark Twain's works had helped him to miraculously recover from his earlier illness. In 1875, Tesla enrolled at Austrian Polytechnic in Graz, Austria, on a Military Frontier scholarship. During his first year, Tesla never missed a lecture, earned the highest grades possible, passed nine exams (nearly twice as many required), started a Serbian culture club, and even received a letter of commendation from the dean of the technical faculty to his father, which stated, "Your son is a star of first rank." Tesla claimed that he worked from 3 a.m. to 11 p.m., no Sundays or holidays excepted. He was "mortified when [his] father made light of [those] hard won honors." After his father's death in 1879, Tesla found a package of letters from his professors to his father, warning that unless he were removed from the school, Tesla would be killed through overwork. During his second year, Tesla came into conflict with Professor Poeschl over the Gramme dynamo, when Tesla suggested that commutators weren't necessary. At the end of his second year, Tesla lost his scholarship and became addicted to gambling. During his third year, Tesla gambled away his allowance and his tuition money, later gambling back his initial losses and returning the balance to his family. Tesla said that he "conquered [his] passion then and there," but later he was known to play billiards in the US. When exam time came, Tesla was unprepared and asked for an extension to study, but was denied. He never graduated from the university and did not receive grades for the last semester. In December 1878, Tesla left Graz and severed all relations with his family to hide the fact that he dropped out of school. His friends thought that he had drowned in the Mur River. Tesla went to Maribor (now in Slovenia), where he worked as a draftsman for 60 florins a month. He spent his spare time playing cards with local men on the streets. In March 1879, Milutin Tesla went to Maribor to beg his son to return home, but Nikola refused. Nikola suffered a nervous breakdown at around the same time. On 24 March 1879, Tesla was returned to Gospić under police guard for not having a residence permit. On 17 April 1879, Milutin Tesla died at the age of 60 after contracting an unspecified illness (although some sources say that he died of a stroke). During that year, Tesla taught a large class of students in his old school, Higher Real Gymnasium, in Gospić. In January 1880, two of Tesla's uncles put together enough money to help him leave Gospić for Prague where he was to study. Unfortunately, he arrived too late to enroll at Charles-Ferdinand University; he never studied Greek, a required subject; and he was illiterate in Czech, another required subject. Tesla did, however, attend lectures at the university, although, as an auditor, he did not receive grades for the courses. ###Question: What did Tesla do in December 1878? ###Answer: {'answer':'left Graz'}
###Answer the question from the input provided. Please answer from input only. ###Input: Much of the work of the Scottish Parliament is done in committee. The role of committees is stronger in the Scottish Parliament than in other parliamentary systems, partly as a means of strengthening the role of backbenchers in their scrutiny of the government and partly to compensate for the fact that there is no revising chamber. The principal role of committees in the Scottish Parliament is to take evidence from witnesses, conduct inquiries and scrutinise legislation. Committee meetings take place on Tuesday, Wednesday and Thursday morning when Parliament is sitting. Committees can also meet at other locations throughout Scotland. Committees comprise a small number of MSPs, with membership reflecting the balance of parties across Parliament. There are different committees with their functions set out in different ways. Mandatory Committees are committees which are set down under the Scottish Parliament's standing orders, which govern their remits and proceedings. The current Mandatory Committees in the fourth Session of the Scottish Parliament are: Public Audit; Equal Opportunities; European and External Relations; Finance; Public Petitions; Standards, Procedures and Public Appointments; and Delegated Powers and Law Reform. Subject Committees are established at the beginning of each parliamentary session, and again the members on each committee reflect the balance of parties across Parliament. Typically each committee corresponds with one (or more) of the departments (or ministries) of the Scottish Government. The current Subject Committees in the fourth Session are: Economy, Energy and Tourism; Education and Culture; Health and Sport; Justice; Local Government and Regeneration; Rural Affairs, Climate Change and Environment; Welfare Reform; and Infrastructure and Capital Investment. A further type of committee is normally set up to scrutinise private bills submitted to the Scottish Parliament by an outside party or promoter who is not a member of the Scottish Parliament or Scottish Government. Private bills normally relate to large-scale development projects such as infrastructure projects that require the use of land or property. Private Bill Committees have been set up to consider legislation on issues such as the development of the Edinburgh Tram Network, the Glasgow Airport Rail Link, the Airdrie-Bathgate Rail Link and extensions to the National Gallery of Scotland. The Scotland Act 1998, which was passed by the Parliament of the United Kingdom and given royal assent by Queen Elizabeth II on 19 November 1998, governs the functions and role of the Scottish Parliament and delimits its legislative competence. The Scotland Act 2012 extends the devolved competencies. For the purposes of parliamentary sovereignty, the Parliament of the United Kingdom at Westminster continues to constitute the supreme legislature of Scotland. However, under the terms of the Scotland Act, Westminster agreed to devolve some of its responsibilities over Scottish domestic policy to the Scottish Parliament. Such "devolved matters" include education, health, agriculture and justice. The Scotland Act enabled the Scottish Parliament to pass primary legislation on these issues. A degree of domestic authority, and all foreign policy, remain with the UK Parliament in Westminster. The Scottish Parliament has the power to pass laws and has limited tax-varying capability. Another of the roles of the Parliament is to hold the Scottish Government to account. ###Question: Where is much of the work of the Scottish Parliament done? ###Answer: {'answer':'committee'}
###Answer the question from the input provided. Please answer from input only. ###Input: Newcastle has a horse racing course at Gosforth Park. The city is also home to the Newcastle Eagles basketball team who play their home games at the new Sport Central complex at Northumbria University. The Eagles are the most successful team in the history of the British Basketball League (BBL). The city's speedway team Newcastle Diamonds are based at Brough Park in Byker, a venue that is also home to greyhound racing. Newcastle also hosts the start of the annual Great North Run, the world's largest half-marathon in which participants race over the Tyne Bridge into Gateshead and then towards the finish line 13.1 miles (21.1 km) away on the coast at South Shields. Another famous athletic event is the 5.9-mile (9.5 km) Blaydon Race (a road race from Newcastle to Blaydon), which has taken place on 9 June annually since 1981, to commemorate the celebrated Blaydon Races horse racing. Newcastle International Airport is located approximately 6 miles (9.7 km) from the city centre on the northern outskirts of the city near Ponteland and is the larger of the two main airports serving the North East. It is connected to the city via the Metro Light Rail system and a journey into Newcastle city centre takes approximately 20 minutes. The airport handles over five million passengers per year, and is the tenth largest, and the fastest growing regional airport in the UK, expecting to reach 10 million passengers by 2016, and 15 million by 2030. As of 2007[update], over 90 destinations are available worldwide. In 2014, work was completed on the stations historic entrance. Glazing was placed over the historic arches and the Victorian architecture was enhanced; transforming the 19th century public portico. The station is one of only six Grade One listed railway stations in the UK. Opened in 1850 by Queen Victoria, it was the first covered railway station in the world and was much copied across the UK. It has a neoclassical façade, originally designed by the architect John Dobson, and was constructed in collaboration with Robert Stephenson. The station sightlines towards the Castle Keep, whilst showcasing the curvature of the station’s arched roof. The first services were operated by the North Eastern Railway company. The city's other mainline station, Manors, is to the east of the city centre. Train operator Virgin Trains East Coast provides a half-hourly frequency of trains to London King's Cross, with a journey time of about three hours, these services call at Durham, Darlington, York, Doncaster, Newark North Gate and Peterborough and north to Scotland with all trains calling at Edinburgh and a small number of trains extended to Glasgow, Aberdeen and Inverness. CrossCountry trains serve destinations in Yorkshire, the Midlands and the South West. First TransPennine Express operates services to Manchester and Liverpool. Northern Rail provides local and regional services. The city is served by the Tyne and Wear Metro, a system of suburban and underground railways covering much of Tyne and Wear. It was opened in five phases between 1980 and 1984, and was Britain's first urban light rail transit system; two extensions were opened in 1991 and 2002. It was developed from a combination of existing and newly built tracks and stations, with deep-level tunnels constructed through Newcastle city centre. A bridge was built across the Tyne, between Newcastle and Gateshead, and opened by Queen Elizabeth II in 1981. The network is operated by DB Regio on behalf of Nexus and carries over 37 million passengers a year, extending as far as Newcastle Airport, Tynemouth, South Shields and South Hylton in Sunderland. In 2004, the company Marconi designed and constructed the mobile radio system to the underground Metro system. The Metro system was the first in the UK to have mobile phone antennae installed in the tunnels. ###Question: Where is Newcastle's horse racing course located? ###Answer: {'answer':'Gosforth Park'}
###Answer the question from the input provided. Please answer from input only. ###Input: In 1999, another special, Doctor Who and the Curse of Fatal Death, was made for Comic Relief and later released on VHS. An affectionate parody of the television series, it was split into four segments, mimicking the traditional serial format, complete with cliffhangers, and running down the same corridor several times when being chased (the version released on video was split into only two episodes). In the story, the Doctor (Rowan Atkinson) encounters both the Master (Jonathan Pryce) and the Daleks. During the special the Doctor is forced to regenerate several times, with his subsequent incarnations played by, in order, Richard E. Grant, Jim Broadbent, Hugh Grant and Joanna Lumley. The script was written by Steven Moffat, later to be head writer and executive producer to the revived series. There have also been many references to Doctor Who in popular culture and other science fiction, including Star Trek: The Next Generation ("The Neutral Zone") and Leverage. In the Channel 4 series Queer as Folk (created by later Doctor Who executive producer Russell T. Davies), the character of Vince was portrayed as an avid Doctor Who fan, with references appearing many times throughout in the form of clips from the programme. In a similar manner, the character of Oliver on Coupling (created and written by current show runner Steven Moffat) is portrayed as a Doctor Who collector and enthusiast. References to Doctor Who have also appeared in the young adult fantasy novels Brisingr and High Wizardry, the video game Rock Band, the soap opera EastEnders, the Adult Swim comedy show Robot Chicken, the Family Guy episodes "Blue Harvest" and "420", and the game RuneScape. It has also be referenced in Destroy All Humans! 2, by civilians in the game's variation of England, and in Apollo Justice: Ace Attorney. The earliest Doctor Who-related audio release was a 21-minute narrated abridgement of the First Doctor television story The Chase released in 1966. Ten years later, the first original Doctor Who audio was released on LP record; Doctor Who and the Pescatons featuring the Fourth Doctor. The first commercially available audiobook was an abridged reading of the Fourth Doctor story State of Decay in 1981. In 1988, during a hiatus in the television show, Slipback, the first radio drama, was transmitted. Since 1999, Big Finish Productions has released several different series of Doctor Who audios on CD. The earliest of these featured the Fifth, Sixth and Seventh Doctors, with Paul McGann's Eight Doctor joining the line in 2001. Tom Baker's Fourth Doctor began appearing for Big Finish in 2012. Along with the main range, adventures of the First, Second and Third Doctors have been produced in both limited cast and full cast formats, as well as audiobooks. The 2013 series Destiny of the Doctor, produced as part of the series' 50th Anniversary celebrations, marked the first time Big Finish created stories (in this case audiobooks) featuring the Doctors from the revived show. Doctor Who books have been published from the mid-sixties through to the present day. From 1965 to 1991 the books published were primarily novelised adaptations of broadcast episodes; beginning in 1991 an extensive line of original fiction was launched, the Virgin New Adventures and Virgin Missing Adventures. Since the relaunch of the programme in 2005, a new range of novels have been published by BBC Books. Numerous non-fiction books about the series, including guidebooks and critical studies, have also been published, and a dedicated Doctor Who Magazine with newsstand circulation has been published regularly since 1979. This is published by Panini, as is the Doctor Who Adventures magazine for younger fans. ###Question: In what year did original fiction featuring Doctor Who appear? ###Answer: {'answer':'1991'}
###Answer the question from the input provided. Please answer from input only. ###Input: Martin Luther (/ˈluːθər/ or /ˈluːðər/; German: [ˈmaɐ̯tiːn ˈlʊtɐ] ( listen); 10 November 1483 – 18 February 1546) was a German professor of theology, composer, priest, former monk and a seminal figure in the Protestant Reformation. Luther came to reject several teachings and practices of the Late Medieval Catholic Church. He strongly disputed the claim that freedom from God's punishment for sin could be purchased with money. He proposed an academic discussion of the power and usefulness of indulgences in his Ninety-Five Theses of 1517. His refusal to retract all of his writings at the demand of Pope Leo X in 1520 and the Holy Roman Emperor Charles V at the Diet of Worms in 1521 resulted in his excommunication by the Pope and condemnation as an outlaw by the Emperor. Luther taught that salvation and subsequently eternal life is not earned by good deeds but is received only as a free gift of God's grace through faith in Jesus Christ as redeemer from sin. His theology challenged the authority and office of the Pope by teaching that the Bible is the only source of divinely revealed knowledge from God and opposed sacerdotalism by considering all baptized Christians to be a holy priesthood. Those who identify with these, and all of Luther's wider teachings, are called Lutherans even though Luther insisted on Christian or Evangelical as the only acceptable names for individuals who professed Christ. His translation of the Bible into the vernacular (instead of Latin) made it more accessible, which had a tremendous impact on the church and German culture. It fostered the development of a standard version of the German language, added several principles to the art of translation, and influenced the writing of an English translation, the Tyndale Bible. His hymns influenced the development of singing in churches. His marriage to Katharina von Bora set a model for the practice of clerical marriage, allowing Protestant clergy to marry. Martin Luther was born to Hans Luder (or Ludher, later Luther) and his wife Margarethe (née Lindemann) on 10 November 1483 in Eisleben, Saxony, then part of the Holy Roman Empire. He was baptized as a Catholic the next morning on the feast day of St. Martin of Tours. His family moved to Mansfeld in 1484, where his father was a leaseholder of copper mines and smelters and served as one of four citizen representatives on the local council. The religious scholar Martin Marty describes Luther's mother as a hard-working woman of "trading-class stock and middling means" and notes that Luther's enemies later wrongly described her as a whore and bath attendant. He had several brothers and sisters, and is known to have been close to one of them, Jacob. Hans Luther was ambitious for himself and his family, and he was determined to see Martin, his eldest son, become a lawyer. He sent Martin to Latin schools in Mansfeld, then Magdeburg in 1497, where he attended a school operated by a lay group called the Brethren of the Common Life, and Eisenach in 1498. The three schools focused on the so-called "trivium": grammar, rhetoric, and logic. Luther later compared his education there to purgatory and hell. In 1501, at the age of 19, he entered the University of Erfurt, which he later described as a beerhouse and whorehouse. He was made to wake at four every morning for what has been described as "a day of rote learning and often wearying spiritual exercises." He received his master's degree in 1505. ###Question: What book did Martin Luther translate to impact German culture? ###Answer: {'answer':'Bible'}
###Answer the question from the input provided. Please answer from input only. ###Input: The historian Francis Aidan Gasquet wrote about the 'Great Pestilence' in 1893 and suggested that "it would appear to be some form of the ordinary Eastern or bubonic plague". He was able to adopt the epidemiology of the bubonic plague for the Black Death for the second edition in 1908, implicating rats and fleas in the process, and his interpretation was widely accepted for other ancient and medieval epidemics, such as the Justinian plague that was prevalent in the Eastern Roman Empire from 541 to 700 CE. Other forms of plague have been implicated by modern scientists. The modern bubonic plague has a mortality rate of 30–75% and symptoms including fever of 38–41 °C (100–106 °F), headaches, painful aching joints, nausea and vomiting, and a general feeling of malaise. Left untreated, of those that contract the bubonic plague, 80 percent die within eight days. Pneumonic plague has a mortality rate of 90 to 95 percent. Symptoms include fever, cough, and blood-tinged sputum. As the disease progresses, sputum becomes free flowing and bright red. Septicemic plague is the least common of the three forms, with a mortality rate near 100%. Symptoms are high fevers and purple skin patches (purpura due to disseminated intravascular coagulation). In cases of pneumonic and particularly septicemic plague, the progress of the disease is so rapid that there would often be no time for the development of the enlarged lymph nodes that were noted as buboes. In October 2010, the open-access scientific journal PLoS Pathogens published a paper by a multinational team who undertook a new investigation into the role of Yersinia pestis in the Black Death following the disputed identification by Drancourt and Raoult in 1998. They assessed the presence of DNA/RNA with Polymerase Chain Reaction (PCR) techniques for Y. pestis from the tooth sockets in human skeletons from mass graves in northern, central and southern Europe that were associated archaeologically with the Black Death and subsequent resurgences. The authors concluded that this new research, together with prior analyses from the south of France and Germany, ". . . ends the debate about the etiology of the Black Death, and unambiguously demonstrates that Y. pestis was the causative agent of the epidemic plague that devastated Europe during the Middle Ages". The study also found that there were two previously unknown but related clades (genetic branches) of the Y. pestis genome associated with medieval mass graves. These clades (which are thought to be extinct) were found to be ancestral to modern isolates of the modern Y. pestis strains Y. p. orientalis and Y. p. medievalis, suggesting the plague may have entered Europe in two waves. Surveys of plague pit remains in France and England indicate the first variant entered Europe through the port of Marseille around November 1347 and spread through France over the next two years, eventually reaching England in the spring of 1349, where it spread through the country in three epidemics. Surveys of plague pit remains from the Dutch town of Bergen op Zoom showed the Y. pestis genotype responsible for the pandemic that spread through the Low Countries from 1350 differed from that found in Britain and France, implying Bergen op Zoom (and possibly other parts of the southern Netherlands) was not directly infected from England or France in 1349 and suggesting a second wave of plague, different from those in Britain and France, may have been carried to the Low Countries from Norway, the Hanseatic cities or another site. The results of the Haensch study have since been confirmed and amended. Based on genetic evidence derived from Black Death victims in the East Smithfield burial site in England, Schuenemann et al. concluded in 2011 "that the Black Death in medieval Europe was caused by a variant of Y. pestis that may no longer exist." A study published in Nature in October 2011 sequenced the genome of Y. pestis from plague victims and indicated that the strain that caused the Black Death is ancestral to most modern strains of the disease. ###Question: When did the Plos Pathogens paper come out? ###Answer: {'answer':'In October 2010'}
###Answer the question from the input provided. Please answer from input only. ###Input: Concerns were raised over whether Levi's Stadium's field was of a high enough quality to host a Super Bowl; during the inaugural season, the field had to be re-sodded multiple times due to various issues, and during a week 6 game earlier in the 2015 season, a portion of the turf collapsed under Baltimore Ravens kicker Justin Tucker, causing him to slip and miss a field goal, although the field has not had any major issues since. As is customary for Super Bowl games played at natural grass stadiums, the NFL re-sodded the field with a new playing surface; a hybrid Bermuda 419 turf. NFL and Atlanta Braves field director Ed Mangan stated that the field was in "great shape" for gameday. However, the turf showed problem throughout the game, with a number of players needing to change their cleats during the game and player slipping during plays all throughout the game. As the designated home team in the annual rotation between AFC and NFC teams, the Broncos elected to wear their road white jerseys with matching white pants. Elway stated, "We've had Super Bowl success in our white uniforms." The Broncos last wore matching white jerseys and pants in the Super Bowl in Super Bowl XXXIII, Elway's last game as Denver QB, when they defeated the Atlanta Falcons 34–19. In their only other Super Bowl win in Super Bowl XXXII, Denver wore blue jerseys, which was their primary color at the time. They also lost Super Bowl XXI when they wore white jerseys, but they are 0-4 in Super Bowls when wearing orange jerseys, losing in Super Bowl XII, XXII, XXIV, and XLVIII. The only other AFC champion team to have worn white as the designated home team in the Super Bowl was the Pittsburgh Steelers; they defeated the Seattle Seahawks 21–10 in Super Bowl XL 10 seasons prior. The Broncos' decision to wear white meant the Panthers would wear their standard home uniform: black jerseys with silver pants. The Panthers used the San Jose State practice facility and stayed at the San Jose Marriott. The Broncos practiced at Stanford University and stayed at the Santa Clara Marriott. On June 4, 2014, the NFL announced that the practice of branding Super Bowl games with Roman numerals, a practice established at Super Bowl V, would be temporarily suspended, and that the game would be named using Arabic numerals as Super Bowl 50 as opposed to Super Bowl L. The use of Roman numerals will be reinstated for Super Bowl LI. Jaime Weston, the league's vice president of brand and creative, explained that a primary reason for the change was the difficulty of designing an aesthetically pleasing logo with the letter "L" using the standardized logo template introduced at Super Bowl XLV. The logo also deviates from the template by featuring large numerals, colored in gold, behind the Vince Lombardi Trophy, instead of underneath and in silver as in the standard logo. Various gold-themed promotions and initiatives were held throughout the 2015 NFL season to tie into the "Golden Super Bowl"; gold-tinted logos were implemented across the NFL's properties and painted on fields, the numbering of the 50-yard line on fields was colored gold, and beginning on week 7, all sideline jackets and hats featured gold-trimmed logos. Gold footballs were given to each high school that has had a player or coach appear in the Super Bowl, and "homecoming" events were also held by Super Bowl-winning teams at games. ###Question: What color was featured in promotions related to Super Bowl 50? ###Answer: {'answer':'gold'}
###Answer the question from the input provided. Please answer from input only. ###Input: In some rural areas in the United Kingdom, there are dispensing physicians who are allowed to both prescribe and dispense prescription-only medicines to their patients from within their practices. The law requires that the GP practice be located in a designated rural area and that there is also a specified, minimum distance (currently 1.6 kilometres) between a patient's home and the nearest retail pharmacy. This law also exists in Austria for general physicians if the nearest pharmacy is more than 4 kilometers away, or where none is registered in the city. The reason for the majority rule is the high risk of a conflict of interest and/or the avoidance of absolute powers. Otherwise, the physician has a financial self-interest in "diagnosing" as many conditions as possible, and in exaggerating their seriousness, because he or she can then sell more medications to the patient. Such self-interest directly conflicts with the patient's interest in obtaining cost-effective medication and avoiding the unnecessary use of medication that may have side-effects. This system reflects much similarity to the checks and balances system of the U.S. and many other governments.[citation needed] In the coming decades, pharmacists are expected to become more integral within the health care system. Rather than simply dispensing medication, pharmacists are increasingly expected to be compensated for their patient care skills. In particular, Medication Therapy Management (MTM) includes the clinical services that pharmacists can provide for their patients. Such services include the thorough analysis of all medication (prescription, non-prescription, and herbals) currently being taken by an individual. The result is a reconciliation of medication and patient education resulting in increased patient health outcomes and decreased costs to the health care system. This shift has already commenced in some countries; for instance, pharmacists in Australia receive remuneration from the Australian Government for conducting comprehensive Home Medicines Reviews. In Canada, pharmacists in certain provinces have limited prescribing rights (as in Alberta and British Columbia) or are remunerated by their provincial government for expanded services such as medications reviews (Medschecks in Ontario). In the United Kingdom, pharmacists who undertake additional training are obtaining prescribing rights and this is because of pharmacy education. They are also being paid for by the government for medicine use reviews. In Scotland the pharmacist can write prescriptions for Scottish registered patients of their regular medications, for the majority of drugs, except for controlled drugs, when the patient is unable to see their doctor, as could happen if they are away from home or the doctor is unavailable. In the United States, pharmaceutical care or clinical pharmacy has had an evolving influence on the practice of pharmacy. Moreover, the Doctor of Pharmacy (Pharm. D.) degree is now required before entering practice and some pharmacists now complete one or two years of residency or fellowship training following graduation. In addition, consultant pharmacists, who traditionally operated primarily in nursing homes are now expanding into direct consultation with patients, under the banner of "senior care pharmacy." The two symbols most commonly associated with pharmacy in English-speaking countries are the mortar and pestle and the ℞ (recipere) character, which is often written as "Rx" in typed text. The show globe was also used until the early 20th century. Pharmacy organizations often use other symbols, such as the Bowl of Hygieia which is often used in the Netherlands, conical measures, and caduceuses in their logos. Other symbols are common in different countries: the green Greek cross in France, Argentina, the United Kingdom, Belgium, Ireland, Italy, Spain, and India, the increasingly rare Gaper in the Netherlands, and a red stylized letter A in Germany and Austria (from Apotheke, the German word for pharmacy, from the same Greek root as the English word 'apothecary'). ###Question: What are the two symbols that signify pharmacy in English-speaking countries? ###Answer: {'answer':'the mortar and pestle and the ℞ (recipere) character'}
###Answer the question from the input provided. Please answer from input only. ###Input: The companion figure – generally a human – has been a constant feature in Doctor Who since the programme's inception in 1963. One of the roles of the companion is to remind the Doctor of his "moral duty". The Doctor's first companions seen on screen were his granddaughter Susan Foreman (Carole Ann Ford) and her teachers Barbara Wright (Jacqueline Hill) and Ian Chesterton (William Russell). These characters were intended to act as audience surrogates, through which the audience would discover information about the Doctor who was to act as a mysterious father figure. The only story from the original series in which the Doctor travels alone is The Deadly Assassin. Notable companions from the earlier series included Romana (Mary Tamm and Lalla Ward), a Time Lady; Sarah Jane Smith (Elisabeth Sladen); and Jo Grant (Katy Manning). Dramatically, these characters provide a figure with whom the audience can identify, and serve to further the story by requesting exposition from the Doctor and manufacturing peril for the Doctor to resolve. The Doctor regularly gains new companions and loses old ones; sometimes they return home or find new causes — or loves — on worlds they have visited. Some have died during the course of the series. Companions are usually human, or humanoid aliens. Since the 2005 revival, the Doctor generally travels with a primary female companion, who occupies a larger narrative role. Steven Moffat described the companion as the main character of the show, as the story begins anew with each companion and she undergoes more change than the Doctor. The primary companions of the Ninth and Tenth Doctors were Rose Tyler (Billie Piper), Martha Jones (Freema Agyeman), and Donna Noble (Catherine Tate) with Mickey Smith (Noel Clarke) and Jack Harkness (John Barrowman) recurring as secondary companion figures. The Eleventh Doctor became the first to travel with a married couple, Amy Pond (Karen Gillan) and Rory Williams (Arthur Darvill), whilst out-of-sync meetings with River Song (Alex Kingston) and Clara Oswald (Jenna Coleman) provided ongoing story arcs. The tenth series will introduce Pearl Mackie as Bill, the Doctor's newest traveling companion. With the show's 2005 revival, executive producer Russell T Davies stated his intention to reintroduce classic icons of Doctor Who one step at a time: the Autons with the Nestene Consciousness and Daleks in series 1, Cybermen in series 2, the Macra and the Master in series 3, the Sontarans and Davros in series 4, and the Time Lords (Rassilon) in the 2009–10 Specials. Davies' successor, Steven Moffat, has continued the trend by reviving the Silurians in series 5, Cybermats in series 6, the Great Intelligence and the Ice Warriors in Series 7, and Zygons in the 50th Anniversary Special. Since its 2005 return, the series has also introduced new recurring aliens: Slitheen (Raxacoricofallapatorian), Ood, Judoon, Weeping Angels and the Silence. The Dalek race, which first appeared in the show's second serial in 1963, are Doctor Who's oldest villains. The Daleks are Kaleds from the planet Skaro, mutated by the scientist Davros and housed in mechanical armour shells for mobility. The actual creatures resemble octopi with large, pronounced brains. Their armour shells have a single eye-stalk, a sink-plunger-like device that serves the purpose of a hand, and a directed-energy weapon. Their main weakness is their eyestalk; attacks upon them using various weapons can blind a Dalek, making it go mad. Their chief role in the series plot, as they frequently remark in their instantly recognisable metallic voices, is to "exterminate" all non-Dalek beings. They even attack the Time Lords in the Time War, as shown during the 50th Anniversary of the show. They continue to be a recurring 'monster' within the Doctor Who franchise, their most recent appearances being in the 2015 episodes "The Witch's Familiar" and "Hell Bent". Davros has also been a recurring figure since his debut in Genesis of the Daleks, although played by several different actors. The Master is the Doctor's archenemy, a renegade Time Lord who desires to rule the universe. Conceived as "Professor Moriarty to the Doctor's Sherlock Holmes", the character first appeared in 1971. As with the Doctor, the role has been portrayed by several actors, since the Master is a Time Lord as well and able to regenerate; the first of these actors was Roger Delgado, who continued in the role until his death in 1973. The Master was briefly played by Peter Pratt and Geoffrey Beevers until Anthony Ainley took over and continued to play the character until Doctor Who's hiatus in 1989. The Master returned in the 1996 television movie of Doctor Who, and was played by American actor Eric Roberts. ###Question: Who are the oldest villains from the Doctor Who series? ###Answer: {'answer':'The Dalek race'}
###Answer the question from the input provided. Please answer from input only. ###Input: His poor physical health made him short-tempered and even harsher in his writings and comments. His wife Katharina was overheard saying, "Dear husband, you are too rude," and he responded, "They are teaching me to be rude." In 1545 and 1546 Luther preached three times in the Market Church in Halle, staying with his friend Justus Jonas during Christmas. His last sermon was delivered at Eisleben, his place of birth, on 15 February 1546, three days before his death. It was "entirely devoted to the obdurate Jews, whom it was a matter of great urgency to expel from all German territory," according to Léon Poliakov. James Mackinnon writes that it concluded with a "fiery summons to drive the Jews bag and baggage from their midst, unless they desisted from their calumny and their usury and became Christians." Luther said, "we want to practice Christian love toward them and pray that they convert," but also that they are "our public enemies ... and if they could kill us all, they would gladly do so. And so often they do." Luther's final journey, to Mansfeld, was taken because of his concern for his siblings' families continuing in their father Hans Luther's copper mining trade. Their livelihood was threatened by Count Albrecht of Mansfeld bringing the industry under his own control. The controversy that ensued involved all four Mansfeld counts: Albrecht, Philip, John George, and Gerhard. Luther journeyed to Mansfeld twice in late 1545 to participate in the negotiations for a settlement, and a third visit was needed in early 1546 for their completion. The negotiations were successfully concluded on 17 February 1546. After 8 a.m., he experienced chest pains. When he went to his bed, he prayed, "Into your hand I commit my spirit; you have redeemed me, O Lord, faithful God" (Ps. 31:5), the common prayer of the dying. At 1 a.m. he awoke with more chest pain and was warmed with hot towels. He thanked God for revealing his Son to him in whom he had believed. His companions, Justus Jonas and Michael Coelius, shouted loudly, "Reverend father, are you ready to die trusting in your Lord Jesus Christ and to confess the doctrine which you have taught in his name?" A distinct "Yes" was Luther's reply. An apoplectic stroke deprived him of his speech, and he died shortly afterwards at 2:45 a.m. on 18 February 1546, aged 62, in Eisleben, the city of his birth. He was buried in the Castle Church in Wittenberg, beneath the pulpit. The funeral was held by his friends Johannes Bugenhagen and Philipp Melanchthon. A year later, troops of Luther's adversary Charles V, Holy Roman Emperor entered the town, but were ordered by Charles not to disturb the grave. ###Question: Where was Luther's last sermon preached? ###Answer: {'answer':'Eisleben'}
###Answer the question from the input provided. Please answer from input only. ###Input: Most Platyctenida have oval bodies that are flattened in the oral-aboral direction, with a pair of tentilla-bearing tentacles on the aboral surface. They cling to and creep on surfaces by everting the pharynx and using it as a muscular "foot". All but one of the known platyctenid species lack comb-rows. Platyctenids are usually cryptically colored, live on rocks, algae, or the body surfaces of other invertebrates, and are often revealed by their long tentacles with many sidebranches, seen streaming off the back of the ctenophore into the current. Almost all species are hermaphrodites, in other words they function as both males and females at the same time – except that in two species of the genus Ocryopsis individuals remain of the same single sex all their lives. The gonads are located in the parts of the internal canal network under the comb rows, and eggs and sperm are released via pores in the epidermis. Fertilization is external in most species, but platyctenids use internal fertilization and keep the eggs in brood chambers until they hatch. Self-fertilization has occasionally been seen in species of the genus Mnemiopsis, and it is thought that most of the hermaphroditic species are self-fertile. Development of the fertilized eggs is direct, in other words there is no distinctive larval form, and juveniles of all groups generally resemble miniature cydippid adults. In the genus Beroe the juveniles, like the adults, lack tentacles and tentacle sheaths. In most species the juveniles gradually develop the body forms of their parents. In some groups, such as the flat, bottom-dwelling platyctenids, the juveniles behave more like true larvae, as they live among the plankton and thus occupy a different ecological niche from their parents and attain the adult form by a more radical metamorphosis, after dropping to the sea-floor. When some species, including Bathyctena chuni, Euplokamis stationis and Eurhamphaea vexilligera, are disturbed, they produce secretions (ink) that luminesce at much the same wavelengths as their bodies. Juveniles will luminesce more brightly in relation to their body size than adults, whose luminescence is diffused over their bodies. Detailed statistical investigation has not suggested the function of ctenophores' bioluminescence nor produced any correlation between its exact color and any aspect of the animals' environments, such as depth or whether they live in coastal or mid-ocean waters. Almost all ctenophores are predators – there are no vegetarians and only one genus that is partly parasitic. If food is plentiful, they can eat 10 times their own weight per day. While Beroe preys mainly on other ctenophores, other surface-water species prey on zooplankton (planktonic animals) ranging in size from the microscopic, including mollusc and fish larvae, to small adult crustaceans such as copepods, amphipods, and even krill. Members of the genus Haeckelia prey on jellyfish and incorporate their prey's nematocysts (stinging cells) into their own tentacles instead of colloblasts. Ctenophores have been compared to spiders in their wide range of techniques from capturing prey – some hang motionless in the water using their tentacles as "webs", some are ambush predators like Salticid jumping spiders, and some dangle a sticky droplet at the end of a fine thread, as bolas spiders do. This variety explains the wide range of body forms in a phylum with rather few species. The two-tentacled "cydippid" Lampea feeds exclusively on salps, close relatives of sea-squirts that form large chain-like floating colonies, and juveniles of Lampea attach themselves like parasites to salps that are too large for them to swallow. Members of the cydippid genus Pleurobrachia and the lobate Bolinopsis often reach high population densities at the same place and time because they specialize in different types of prey: Pleurobrachia's long tentacles mainly capture relatively strong swimmers such as adult copepods, while Bolinopsis generally feeds on smaller, weaker swimmers such as rotifers and mollusc and crustacean larvae. ###Question: What do most platyctenida have on their aboral surface? ###Answer: {'answer':'a pair of tentilla-bearing tentacles'}
###Answer the question from the input provided. Please answer from input only. ###Input: While many United Methodist congregations operate in the evangelical tradition, others reflect the mainline Protestant traditions. Although United Methodist practices and interpretation of beliefs have evolved over time, these practices and beliefs can be traced to the writings of the church's founders, especially John Wesley and Charles Wesley (Anglicans), but also Philip William Otterbein and Martin Boehm (United Brethren), and Jacob Albright (Evangelical Association). With the formation of The United Methodist Church in 1968, theologian Albert C. Outler led the team which systematized denominational doctrine. Outler's work proved pivotal in the work of union, and he is largely considered the first United Methodist theologian. Prevenient grace, or the grace that "goes before" us, is given to all people. It is that power which enables us to love and motivates us to seek a relationship with God through Jesus Christ. This grace is the present work of God to turn us from our sin-corrupted human will to the loving will of the Father. In this work, God desires that we might sense both our sinfulness before God and God's offer of salvation. Prevenient grace allows those tainted by sin to nevertheless make a truly free choice to accept or reject God's salvation in Christ. Justifying Grace or Accepting Grace is that grace, offered by God to all people, that we receive by faith and trust in Christ, through which God pardons the believer of sin. It is in justifying grace we are received by God, in spite of our sin. In this reception, we are forgiven through the atoning work of Jesus Christ on the cross. The justifying grace cancels our guilt and empowers us to resist the power of sin and to fully love God and neighbor. Today, justifying grace is also known as conversion, "accepting Jesus as your personal Lord and Savior," or being "born again". John Wesley originally called this experience the New Birth. This experience can occur in different ways; it can be one transforming moment, such as an altar call experience, or it may involve a series of decisions across a period of time. Sanctifying Grace is that grace of God which sustains the believers in the journey toward Christian Perfection: a genuine love of God with heart, soul, mind, and strength, and a genuine love of our neighbors as ourselves. Sanctifying grace enables us to respond to God by leading a Spirit-filled and Christ-like life aimed toward love. Wesley never claimed this state of perfection for himself but instead insisted the attainment of perfection was possible for all Christians. Here the English Reformer parted company with both Luther and Calvin, who denied that a man would ever reach a state in this life in which he could not fall into sin. Such a man can lose all inclination to evil and can gain perfection in this life. Wesleyan theology stands at a unique cross-roads between evangelical and sacramental, between liturgical and charismatic, and between Anglo-Catholic and Reformed theology and practice. It has been characterized as Arminian theology with an emphasis on the work of the Holy Spirit to bring holiness into the life of the participating believer. The United Methodist Church believes in prima scriptura, seeing the Holy Bible as the primary authority in the Church and using sacred tradition, reason, and experience to interpret it, with the aid of the Holy Spirit (see Wesleyan Quadrilateral). Therefore, according to The Book of Discipline, United Methodist theology is at once "catholic, evangelical, and reformed." Today, the UMC is generally considered one of the more moderate and tolerant denominations with respect to race, gender, and ideology, though the denomination itself actually includes a very wide spectrum of attitudes. Comparatively, the UMC stands to the right of liberal and progressive Protestant groups such as the United Church of Christ and the Episcopal Church on certain issues (especially regarding sexuality), but to the left of historically conservative evangelical traditions such as the Southern Baptists and Pentecostalism, in regard to theological matters such as social justice and Biblical interpretation. However, it should be noted that the UMC is made up of a broad diversity of thought, and so there are many clergy and laity within the UMC that hold differing viewpoints on such theological matters. ###Question: When was the UMC formed? ###Answer: {'answer':'1968'}
###Answer the question from the input provided. Please answer from input only. ###Input: Through combining the definition of electric current as the time rate of change of electric charge, a rule of vector multiplication called Lorentz's Law describes the force on a charge moving in a magnetic field. The connection between electricity and magnetism allows for the description of a unified electromagnetic force that acts on a charge. This force can be written as a sum of the electrostatic force (due to the electric field) and the magnetic force (due to the magnetic field). Fully stated, this is the law: The origin of electric and magnetic fields would not be fully explained until 1864 when James Clerk Maxwell unified a number of earlier theories into a set of 20 scalar equations, which were later reformulated into 4 vector equations by Oliver Heaviside and Josiah Willard Gibbs. These "Maxwell Equations" fully described the sources of the fields as being stationary and moving charges, and the interactions of the fields themselves. This led Maxwell to discover that electric and magnetic fields could be "self-generating" through a wave that traveled at a speed that he calculated to be the speed of light. This insight united the nascent fields of electromagnetic theory with optics and led directly to a complete description of the electromagnetic spectrum. However, attempting to reconcile electromagnetic theory with two observations, the photoelectric effect, and the nonexistence of the ultraviolet catastrophe, proved troublesome. Through the work of leading theoretical physicists, a new theory of electromagnetism was developed using quantum mechanics. This final modification to electromagnetic theory ultimately led to quantum electrodynamics (or QED), which fully describes all electromagnetic phenomena as being mediated by wave–particles known as photons. In QED, photons are the fundamental exchange particle, which described all interactions relating to electromagnetism including the electromagnetic force.[Note 4] It is a common misconception to ascribe the stiffness and rigidity of solid matter to the repulsion of like charges under the influence of the electromagnetic force. However, these characteristics actually result from the Pauli exclusion principle.[citation needed] Since electrons are fermions, they cannot occupy the same quantum mechanical state as other electrons. When the electrons in a material are densely packed together, there are not enough lower energy quantum mechanical states for them all, so some of them must be in higher energy states. This means that it takes energy to pack them together. While this effect is manifested macroscopically as a structural force, it is technically only the result of the existence of a finite set of electron states. The strong force only acts directly upon elementary particles. However, a residual of the force is observed between hadrons (the best known example being the force that acts between nucleons in atomic nuclei) as the nuclear force. Here the strong force acts indirectly, transmitted as gluons, which form part of the virtual pi and rho mesons, which classically transmit the nuclear force (see this topic for more). The failure of many searches for free quarks has shown that the elementary particles affected are not directly observable. This phenomenon is called color confinement. ###Question: What is often misunderstood as the cause of matter rigidity? ###Answer: {'answer':'repulsion of like charges'}
###Answer the question from the input provided. Please answer from input only. ###Input: Today, Warsaw has some of the best medical facilities in Poland and East-Central Europe. The city is home to the Children's Memorial Health Institute (CMHI), the highest-reference hospital in all of Poland, as well as an active research and education center. While the Maria Skłodowska-Curie Institute of Oncology it is one of the largest and most modern oncological institutions in Europe. The clinical section is located in a 10-floor building with 700 beds, 10 operating theatres, an intensive care unit, several diagnostic departments as well as an outpatient clinic. The infrastructure has developed a lot over the past years. Thanks to numerous musical venues, including the Teatr Wielki, the Polish National Opera, the Chamber Opera, the National Philharmonic Hall and the National Theatre, as well as the Roma and Buffo music theatres and the Congress Hall in the Palace of Culture and Science, Warsaw hosts many events and festivals. Among the events worth particular attention are: the International Frédéric Chopin Piano Competition, the International Contemporary Music Festival Warsaw Autumn, the Jazz Jamboree, Warsaw Summer Jazz Days, the International Stanisław Moniuszko Vocal Competition, the Mozart Festival, and the Festival of Old Music. Nearby, in Ogród Saski (the Saxon Garden), the Summer Theatre was in operation from 1870 to 1939, and in the inter-war period, the theatre complex also included Momus, Warsaw's first literary cabaret, and Leon Schiller's musical theatre Melodram. The Wojciech Bogusławski Theatre (1922–26), was the best example of "Polish monumental theatre". From the mid-1930s, the Great Theatre building housed the Upati Institute of Dramatic Arts – the first state-run academy of dramatic art, with an acting department and a stage directing department. Several commemorative events take place every year. Gatherings of thousands of people on the banks of the Vistula on Midsummer’s Night for a festival called Wianki (Polish for Wreaths) have become a tradition and a yearly event in the programme of cultural events in Warsaw. The festival traces its roots to a peaceful pagan ritual where maidens would float their wreaths of herbs on the water to predict when they would be married, and to whom. By the 19th century this tradition had become a festive event, and it continues today. The city council organize concerts and other events. Each Midsummer’s Eve, apart from the official floating of wreaths, jumping over fires, looking for the fern flower, there are musical performances, dignitaries' speeches, fairs and fireworks by the river bank. As interesting examples of expositions the most notable are: the world's first Museum of Posters boasting one of the largest collections of art posters in the world, Museum of Hunting and Riding and the Railway Museum. From among Warsaw's 60 museums, the most prestigious ones are National Museum with a collection of works whose origin ranges in time from antiquity till the present epoch as well as one of the best collections of paintings in the country including some paintings from Adolf Hitler's private collection, and Museum of the Polish Army whose set portrays the history of arms. ###Question: What is the polish word for wreaths? ###Answer: {'answer':'Wianki'}
###Answer the question from the input provided. Please answer from input only. ###Input: In the 1930s, radio in the United States was dominated by three companies: the Columbia Broadcasting System (CBS), the Mutual Broadcasting System and the National Broadcasting Company (NBC). The last was owned by electronics manufacturer Radio Corporation of America (RCA), which owned two radio networks that each ran different varieties of programming, NBC Blue and NBC Red. The NBC Blue Network was created in 1927 for the primary purpose of testing new programs on markets of lesser importance than those served by NBC Red, which served the major cities, and to test drama series. In 1934, Mutual filed a complaint with the Federal Communications Commission (FCC) regarding its difficulties in establishing new stations, in a radio market that was already being saturated by NBC and CBS. In 1938, the FCC began a series of investigations into the practices of radio networks and published its report on the broadcasting of network radio programs in 1940. The report recommended that RCA give up control of either NBC Red or NBC Blue. At that time, the NBC Red Network was the principal radio network in the United States and, according to the FCC, RCA was using NBC Blue to eliminate any hint of competition. Having no power over the networks themselves, the FCC established a regulation forbidding licenses to be issued for radio stations if they were affiliated with a network which already owned multiple networks that provided content of public interest. Once Mutual's appeals against the FCC were rejected, RCA decided to sell NBC Blue in 1941, and gave the mandate to do so to Mark Woods. RCA converted the NBC Blue Network into an independent subsidiary, formally divorcing the operations of NBC Red and NBC Blue on January 8, 1942, with the Blue Network being referred to on-air as either "Blue" or "Blue Network". The newly separated NBC Red and NBC Blue divided their respective corporate assets. Between 1942 and 1943, Woods offered to sell the entire NBC Blue Network, a package that included leases on landlines, three pending television licenses (WJZ-TV in New York City, KGO-TV in San Francisco and WENR-TV in Chicago), 60 affiliates, four operations facilities (in New York City, Chicago, Los Angeles and Washington D.C.), contracts with actors, and the brand associated with the Blue Network. Investment firm Dillon, Read & Co. (which was later acquired by the Swiss Bank Corporation in 1997) offered $7.5 million to purchase the network, but the offer was rejected by Woods and RCA president David Sarnoff. Edward John Noble, the owner of Life Savers candy, drugstore chain Rexall and New York City radio station WMCA, purchased the network for $8 million. Due to FCC ownership rules, the transaction, which was to include the purchase of three RCA stations by Noble, would require him to resell his station with the FCC's approval. The Commission authorized the transaction on October 12, 1943. Soon afterward, the Blue Network was purchased by the new company Noble founded, the American Broadcasting System. Noble subsequently acquired the rights to the "American Broadcasting Company" name from George B. Storer in 1944; its parent company adopted the corporate name American Broadcasting Companies, Inc. Woods retained his position as president and CEO of ABC until December 1949, and was subsequently promoted to vice-chairman of the board before leaving ABC altogether on June 30, 1951. ABC became an aggressive competitor to NBC and CBS when, continuing NBC Blue's traditions of public service, it aired symphony performances conducted by Paul Whiteman, performances from the Metropolitan Opera, and jazz concerts aired as part of its broadcast of The Chamber Music Society of Lower Basin Street announced by Milton Cross. The network also became known for such suspenseful dramas as Sherlock Holmes, Gang Busters and Counterspy, as well as several mid-afternoon youth-oriented programs. However, ABC made a name for itself by utilizing the practice of counterprogramming, with which it often placed shows of its own against the offerings of NBC and CBS, adopting the use of the Magnetophon tape recorder, brought to the U.S. from Nazi Germany after its conquest, to pre-record its programming. With the help of the Magnetophon, ABC was able to provide its stars with greater freedom in terms of time, and also attract several big names, such as Bing Crosby at a time when NBC and CBS did not allow pre-taped shows. ###Question: To whom did RCA mandate the sale of NBC blue to in 1941? ###Answer: {'answer':'Mark Woods'}
###Answer the question from the input provided. Please answer from input only. ###Input: This contributed to the "Oil Shock". After 1971, OPEC was slow to readjust prices to reflect this depreciation. From 1947 to 1967, the dollar price of oil had risen by less than two percent per year. Until the oil shock, the price had also remained fairly stable versus other currencies and commodities. OPEC ministers had not developed institutional mechanisms to update prices in sync with changing market conditions, so their real incomes lagged. The substantial price increases of 1973–1974 largely returned their prices and corresponding incomes to Bretton Woods levels in terms of commodities such as gold. On October 6, 1973, Syria and Egypt, with support from other Arab nations, launched a surprise attack on Israel, on Yom Kippur. This renewal of hostilities in the Arab–Israeli conflict released the underlying economic pressure on oil prices. At the time, Iran was the world's second-largest oil exporter and a close US ally. Weeks later, the Shah of Iran said in an interview: "Of course [the price of oil] is going to rise... Certainly! And how!... You've [Western nations] increased the price of the wheat you sell us by 300 percent, and the same for sugar and cement... You buy our crude oil and sell it back to us, refined as petrochemicals, at a hundred times the price you've paid us... It's only fair that, from now on, you should pay more for oil. Let's say ten times more." In response to American aid to Israel, on October 16, 1973, OPEC raised the posted price of oil by 70%, to $5.11 a barrel. The following day, oil ministers agreed to the embargo, a cut in production by five percent from September's output and to continue to cut production in five percent monthly increments until their economic and political objectives were met. On October 19, Nixon requested Congress to appropriate $2.2 billion in emergency aid to Israel, including $1.5 billion in outright grants. George Lenczowski notes, "Military supplies did not exhaust Nixon's eagerness to prevent Israel's collapse...This [$2.2 billion] decision triggered a collective OPEC response." Libya immediately announced it would embargo oil shipments to the United States. Saudi Arabia and the other Arab oil-producing states joined the embargo on October 20, 1973. At their Kuwait meeting, OAPEC proclaimed the embargo that curbed exports to various countries and blocked all oil deliveries to the US as a "principal hostile country". Some of the income was dispensed in the form of aid to other underdeveloped nations whose economies had been caught between higher oil prices and lower prices for their own export commodities, amid shrinking Western demand. Much went for arms purchases that exacerbated political tensions, particularly in the Middle East. Saudi Arabia spent over 100 billion dollars in the ensuing decades for helping spread its fundamentalist interpretation of Islam, known as Wahhabism, throughout the world, via religious charities such al-Haramain Foundation, which often also distributed funds to violent Sunni extremist groups such as Al-Qaeda and the Taliban. In the United States, scholars argue that there already existed a negotiated settlement based on equality between both parties prior to 1973. The possibility that the Middle East could become another superpower confrontation with the USSR was of more concern to the US than oil. Further, interest groups and government agencies more worried about energy were no match for Kissinger's dominance. In the US production, distribution and price disruptions "have been held responsible for recessions, periods of excessive inflation, reduced productivity, and lower economic growth." ###Question: When did Syria and Egypt launch a surprise attack on Israel? ###Answer: {'answer':'On October 6, 1973'}
###Answer the question from the input provided. Please answer from input only. ###Input: While studying law and philosophy in England and Germany, Iqbal became a member of the London branch of the All India Muslim League. He came back to Lahore in 1908. While dividing his time between law practice and philosophical poetry, Iqbal had remained active in the Muslim League. He did not support Indian involvement in World War I and remained in close touch with Muslim political leaders such as Muhammad Ali Johar and Muhammad Ali Jinnah. He was a critic of the mainstream Indian nationalist and secularist Indian National Congress. Iqbal's seven English lectures were published by Oxford University press in 1934 in a book titled The Reconstruction of Religious Thought in Islam. These lectures dwell on the role of Islam as a religion as well as a political and legal philosophy in the modern age. Iqbal expressed fears that not only would secularism and secular nationalism weaken the spiritual foundations of Islam and Muslim society, but that India's Hindu-majority population would crowd out Muslim heritage, culture and political influence. In his travels to Egypt, Afghanistan, Palestine and Syria, he promoted ideas of greater Islamic political co-operation and unity, calling for the shedding of nationalist differences. Sir Muhammad Iqbal was elected president of the Muslim League in 1930 at its session in Allahabad as well as for the session in Lahore in 1932. In his Allahabad Address on 29 December 1930, Iqbal outlined a vision of an independent state for Muslim-majority provinces in northwestern India. This address later inspired the Pakistan movement. Sayyid Abul Ala Maududi was an important early twentieth-century figure in the Islamic revival in India, and then after independence from Britain, in Pakistan. Trained as a lawyer he chose the profession of journalism, and wrote about contemporary issues and most importantly about Islam and Islamic law. Maududi founded the Jamaat-e-Islami party in 1941 and remained its leader until 1972. However, Maududi had much more impact through his writing than through his political organising. His extremely influential books (translated into many languages) placed Islam in a modern context, and influenced not only conservative ulema but liberal modernizer Islamists such as al-Faruqi, whose "Islamization of Knowledge" carried forward some of Maududi's key principles. Maududi also believed that Muslim society could not be Islamic without Sharia, and Islam required the establishment of an Islamic state. This state should be a "theo-democracy," based on the principles of: tawhid (unity of God), risala (prophethood) and khilafa (caliphate). Although Maududi talked about Islamic revolution, by "revolution" he meant not the violence or populist policies of the Iranian Revolution, but the gradual changing the hearts and minds of individuals from the top of society downward through an educational process or da'wah. Roughly contemporaneous with Maududi was the founding of the Muslim Brotherhood in Ismailiyah, Egypt in 1928 by Hassan al Banna. His was arguably the first, largest and most influential modern Islamic political/religious organization. Under the motto "the Qur'an is our constitution," it sought Islamic revival through preaching and also by providing basic community services including schools, mosques, and workshops. Like Maududi, Al Banna believed in the necessity of government rule based on Shariah law implemented gradually and by persuasion, and of eliminating all imperialist influence in the Muslim world. ###Question: When was the Muslim Brotherhood founded? ###Answer: {'answer':'1928'}
###Answer the question from the input provided. Please answer from input only. ###Input: The succession of Genghis Khan was already a significant topic during the later years of his reign, as he reached old age. The long running paternity discussion about Genghis' oldest son Jochi was particularly contentious because of the seniority of Jochi among the brothers. According to traditional historical accounts, the issue over Jochi's paternity was voiced most strongly by Chagatai. In The Secret History of the Mongols, just before the invasion of the Khwarezmid Empire by Genghis Khan, Chagatai declared before his father and brothers that he would never accept Jochi as Genghis Khan's successor. In response to this tension, and possibly for other reasons, Ögedei was appointed as successor. Genghis Khan was aware of the friction between his sons (particularly between Chagatai and Jochi) and worried of possible conflict between them if he died. He therefore decided to divide his empire among his sons and make all of them Khan in their own right, while appointing one of his sons as his successor. Chagatai was considered unstable due to his temper and rash behavior, because of statements he made that he would not follow Jochi if he were to become his father's successor. Tolui, Genghis Khan's youngest son, was not to be his successor because he was the youngest and in the Mongol culture, youngest sons were not given much responsibility due to their age. If Jochi were to become successor, it was likely that Chagatai would engage in warfare with him and collapse the empire. Therefore, Genghis Khan decided to give the throne to Ögedei. Ögedei was seen by Genghis Khan as dependable in character and relatively stable and down to earth and would be a neutral candidate and might defuse the situation between his brothers. Jochi died in 1226, during his father's lifetime. Some scholars, notably Ratchnevsky, have commented on the possibility that Jochi was secretly poisoned by an order from Genghis Khan. Rashid al-Din reports that the great Khan sent for his sons in the spring of 1223, and while his brothers heeded the order, Jochi remained in Khorasan. Juzjani suggests that the disagreement arose from a quarrel between Jochi and his brothers in the siege of Urgench. Jochi had attempted to protect Urgench from destruction, as it belonged to territory allocated to him as a fief. He concludes his story with the clearly apocryphal statement by Jochi: "Genghis Khan is mad to have massacred so many people and laid waste so many lands. I would be doing a service if I killed my father when he is hunting, made an alliance with Sultan Muhammad, brought this land to life and gave assistance and support to the Muslims." Juzjani claims that it was in response to hearing of these plans that Genghis Khan ordered his son secretly poisoned; however, as Sultan Muhammad was already dead in 1223, the accuracy of this story is questionable. In August 1227, during the fall of Yinchuan, the capital of Western Xia, Genghis Khan died. The exact cause of his death remains a mystery, and is variously attributed to being killed in action against the Western Xia, illness, falling from his horse, or wounds sustained in hunting or battle. According to The Secret History of the Mongols Genghis Khan fell from his horse while hunting and died because of the injury. He was already old and tired from his journeys. The Galician–Volhynian Chronicle alleges he was killed by the Western Xia in battle, while Marco Polo wrote that he died after the infection of an arrow wound he received during his final campaign. Later Mongol chronicles connect Genghis' death with a Western Xia princess taken as war booty. One chronicle from the early 17th century even relates the legend that the princess hid a small dagger and stabbed him, though some Mongol authors have doubted this version and suspected it to be an invention by the rival Oirads. Years before his death, Genghis Khan asked to be buried without markings, according to the customs of his tribe. After he died, his body was returned to Mongolia and presumably to his birthplace in Khentii Aimag, where many assume he is buried somewhere close to the Onon River and the Burkhan Khaldun mountain (part of the Kentii mountain range). According to legend, the funeral escort killed anyone and anything across their path to conceal where he was finally buried. The Genghis Khan Mausoleum, constructed many years after his death, is his memorial, but not his burial site. ###Question: The paternity of which of Genghis Khan's sons was disputed? ###Answer: {'answer':'Jochi'}
###Answer the question from the input provided. Please answer from input only. ###Input: Following the series revival in 2005, Derek Jacobi provided the character's re-introduction in the 2007 episode "Utopia". During that story the role was then assumed by John Simm who returned to the role multiple times through the Tenth Doctor's tenure. As of the 2014 episode "Dark Water," it was revealed that the Master had become a female incarnation or "Time Lady," going by the name of "Missy" (short for Mistress, the feminine equivalent of "Master"). This incarnation is played by Michelle Gomez. The original theme was composed by Ron Grainer and realised by Delia Derbyshire of the BBC Radiophonic Workshop, with assistance from Dick Mills. The various parts were built up using musique concrète techniques, by creating tape loops of an individually struck piano string and individual test oscillators and filters. The Derbyshire arrangement served, with minor edits, as the theme tune up to the end of season 17 (1979–80). It is regarded as a significant and innovative piece of electronic music, recorded well before the availability of commercial synthesisers or multitrack mixers. Each note was individually created by cutting, splicing, speeding up and slowing down segments of analogue tape containing recordings of a single plucked string, white noise, and the simple harmonic waveforms of test-tone oscillators, intended for calibrating equipment and rooms, not creating music. New techniques were invented to allow mixing of the music, as this was before the era of multitrack tape machines. On hearing the finished result, Grainer asked, "Did I write that?"[citation needed] A different arrangement was recorded by Peter Howell for season 18 (1980), which was in turn replaced by Dominic Glynn's arrangement for the season-long serial The Trial of a Time Lord in season 23 (1986). Keff McCulloch provided the new arrangement for the Seventh Doctor's era which lasted from season 24 (1987) until the series' suspension in 1989. American composer John Debney created a new arrangement of Ron Grainer's original theme for Doctor Who in 1996. For the return of the series in 2005, Murray Gold provided a new arrangement which featured samples from the 1963 original with further elements added; in the 2005 Christmas episode "The Christmas Invasion", Gold introduced a modified closing credits arrangement that was used up until the conclusion of the 2007 series.[citation needed] A new arrangement of the theme, once again by Gold, was introduced in the 2007 Christmas special episode, "Voyage of the Damned"; Gold returned as composer for the 2010 series. He was responsible for a new version of the theme which was reported to have had a hostile reception from some viewers. In 2011, the theme tune charted at number 228 of radio station Classic FM's Hall of Fame, a survey of classical music tastes. A revised version of Gold's 2010 arrangement had its debut over the opening titles of the 2012 Christmas special "The Snowmen", and a further revision of the arrangement was made for the 50th Anniversary special "The Day of the Doctor" in November 2013.[citation needed] Versions of the "Doctor Who Theme" have also been released as pop music over the years. In the early 1970s, Jon Pertwee, who had played the Third Doctor, recorded a version of the Doctor Who theme with spoken lyrics, titled, "Who Is the Doctor".[note 6] In 1978 a disco version of the theme was released in the UK, Denmark and Australia by the group Mankind, which reached number 24 in the UK charts. In 1988 the band The Justified Ancients of Mu Mu (later known as The KLF) released the single "Doctorin' the Tardis" under the name The Timelords, which reached No. 1 in the UK and No. 2 in Australia; this version incorporated several other songs, including "Rock and Roll Part 2" by Gary Glitter (who recorded vocals for some of the CD-single remix versions of "Doctorin' the Tardis"). Others who have covered or reinterpreted the theme include Orbital, Pink Floyd, the Australian string ensemble Fourplay, New Zealand punk band Blam Blam Blam, The Pogues, Thin Lizzy, Dub Syndicate, and the comedians Bill Bailey and Mitch Benn. Both the theme and obsessive fans were satirised on The Chaser's War on Everything. The theme tune has also appeared on many compilation CDs, and has made its way into mobile-phone ringtones. Fans have also produced and distributed their own remixes of the theme. In January 2011 the Mankind version was released as a digital download on the album Gallifrey And Beyond. ###Question: Who recorded the theme played for season 18? ###Answer: {'answer':'Peter Howell'}
###Answer the question from the input provided. Please answer from input only. ###Input: The shortcomings of Aristotelian physics would not be fully corrected until the 17th century work of Galileo Galilei, who was influenced by the late Medieval idea that objects in forced motion carried an innate force of impetus. Galileo constructed an experiment in which stones and cannonballs were both rolled down an incline to disprove the Aristotelian theory of motion early in the 17th century. He showed that the bodies were accelerated by gravity to an extent that was independent of their mass and argued that objects retain their velocity unless acted on by a force, for example friction. Newton's First Law of Motion states that objects continue to move in a state of constant velocity unless acted upon by an external net force or resultant force. This law is an extension of Galileo's insight that constant velocity was associated with a lack of net force (see a more detailed description of this below). Newton proposed that every object with mass has an innate inertia that functions as the fundamental equilibrium "natural state" in place of the Aristotelian idea of the "natural state of rest". That is, the first law contradicts the intuitive Aristotelian belief that a net force is required to keep an object moving with constant velocity. By making rest physically indistinguishable from non-zero constant velocity, Newton's First Law directly connects inertia with the concept of relative velocities. Specifically, in systems where objects are moving with different velocities, it is impossible to determine which object is "in motion" and which object is "at rest". In other words, to phrase matters more technically, the laws of physics are the same in every inertial frame of reference, that is, in all frames related by a Galilean transformation. For instance, while traveling in a moving vehicle at a constant velocity, the laws of physics do not change from being at rest. A person can throw a ball straight up in the air and catch it as it falls down without worrying about applying a force in the direction the vehicle is moving. This is true even though another person who is observing the moving vehicle pass by also observes the ball follow a curving parabolic path in the same direction as the motion of the vehicle. It is the inertia of the ball associated with its constant velocity in the direction of the vehicle's motion that ensures the ball continues to move forward even as it is thrown up and falls back down. From the perspective of the person in the car, the vehicle and everything inside of it is at rest: It is the outside world that is moving with a constant speed in the opposite direction. Since there is no experiment that can distinguish whether it is the vehicle that is at rest or the outside world that is at rest, the two situations are considered to be physically indistinguishable. Inertia therefore applies equally well to constant velocity motion as it does to rest. The concept of inertia can be further generalized to explain the tendency of objects to continue in many different forms of constant motion, even those that are not strictly constant velocity. The rotational inertia of planet Earth is what fixes the constancy of the length of a day and the length of a year. Albert Einstein extended the principle of inertia further when he explained that reference frames subject to constant acceleration, such as those free-falling toward a gravitating object, were physically equivalent to inertial reference frames. This is why, for example, astronauts experience weightlessness when in free-fall orbit around the Earth, and why Newton's Laws of Motion are more easily discernible in such environments. If an astronaut places an object with mass in mid-air next to himself, it will remain stationary with respect to the astronaut due to its inertia. This is the same thing that would occur if the astronaut and the object were in intergalactic space with no net force of gravity acting on their shared reference frame. This principle of equivalence was one of the foundational underpinnings for the development of the general theory of relativity. Newton's Second Law asserts the direct proportionality of acceleration to force and the inverse proportionality of acceleration to mass. Accelerations can be defined through kinematic measurements. However, while kinematics are well-described through reference frame analysis in advanced physics, there are still deep questions that remain as to what is the proper definition of mass. General relativity offers an equivalence between space-time and mass, but lacking a coherent theory of quantum gravity, it is unclear as to how or whether this connection is relevant on microscales. With some justification, Newton's second law can be taken as a quantitative definition of mass by writing the law as an equality; the relative units of force and mass then are fixed. ###Question: When were the shortcomings of Aristotle's physics overcome? ###Answer: {'answer':'17th century'}
###Answer the question from the input provided. Please answer from input only. ###Input: Ctenophores form an animal phylum that is more complex than sponges, about as complex as cnidarians (jellyfish, sea anemones, etc.), and less complex than bilaterians (which include almost all other animals). Unlike sponges, both ctenophores and cnidarians have: cells bound by inter-cell connections and carpet-like basement membranes; muscles; nervous systems; and some have sensory organs. Ctenophores are distinguished from all other animals by having colloblasts, which are sticky and adhere to prey, although a few ctenophore species lack them. Like sponges and cnidarians, ctenophores have two main layers of cells that sandwich a middle layer of jelly-like material, which is called the mesoglea in cnidarians and ctenophores; more complex animals have three main cell layers and no intermediate jelly-like layer. Hence ctenophores and cnidarians have traditionally been labelled diploblastic, along with sponges. Both ctenophores and cnidarians have a type of muscle that, in more complex animals, arises from the middle cell layer, and as a result some recent text books classify ctenophores as triploblastic, while others still regard them as diploblastic. Ranging from about 1 millimeter (0.039 in) to 1.5 meters (4.9 ft) in size, ctenophores are the largest non-colonial animals that use cilia ("hairs") as their main method of locomotion. Most species have eight strips, called comb rows, that run the length of their bodies and bear comb-like bands of cilia, called "ctenes," stacked along the comb rows so that when the cilia beat, those of each comb touch the comb below. The name "ctenophora" means "comb-bearing", from the Greek κτείς (stem-form κτεν-) meaning "comb" and the Greek suffix -φορος meaning "carrying". For a phylum with relatively few species, ctenophores have a wide range of body plans. Coastal species need to be tough enough to withstand waves and swirling sediment particles, while some oceanic species are so fragile that it is very difficult to capture them intact for study. In addition oceanic species do not preserve well, and are known mainly from photographs and from observers' notes. Hence most attention has until recently concentrated on three coastal genera – Pleurobrachia, Beroe and Mnemiopsis. At least two textbooks base their descriptions of ctenophores on the cydippid Pleurobrachia. The internal cavity forms: a mouth that can usually be closed by muscles; a pharynx ("throat"); a wider area in the center that acts as a stomach; and a system of internal canals. These branch through the mesoglea to the most active parts of the animal: the mouth and pharynx; the roots of the tentacles, if present; all along the underside of each comb row; and four branches round the sensory complex at the far end from the mouth – two of these four branches terminate in anal pores. The inner surface of the cavity is lined with an epithelium, the gastrodermis. The mouth and pharynx have both cilia and well-developed muscles. In other parts of the canal system, the gastrodermis is different on the sides nearest to and furthest from the organ that it supplies. The nearer side is composed of tall nutritive cells that store nutrients in vacuoles (internal compartments), germ cells that produce eggs or sperm, and photocytes that produce bioluminescence. The side furthest from the organ is covered with ciliated cells that circulate water through the canals, punctuated by ciliary rosettes, pores that are surrounded by double whorls of cilia and connect to the mesoglea. ###Question: Which cidippid is used as a description on ctenophores in most textbooks? ###Answer: {'answer':'Pleurobrachia'}
###Answer the question from the input provided. Please answer from input only. ###Input: The V&A Theatre & Performance galleries, formerly the Theatre Museum, opened in March 2009. The collections are stored by the V&A, and are available for research, exhibitions and other shows. They hold the UK's biggest national collection of material about live performance in the UK since Shakespeare's day, covering drama, dance, musical theatre, circus, music hall, rock and pop, and most other forms of live entertainment. Types of items displayed include costumes, set models, wigs, prompt books, and posters. Conservation is responsible for the long-term preservation of the collections, and covers all the collections held by the V&A and the V&A Museum of Childhood. The conservators specialise in particular areas of conservation. Areas covered by conservator's work include "preventive" conservation this includes: performing surveys, assessments and providing advice on the handling of items, correct packaging, mounting and handling procedures during movement and display to reduce risk of damaging objects. Activities include controlling the museum environment (for example, temperature and light) and preventing pests (primarily insects) from damaging artefacts. The other major category is "interventive" conservation, this includes: cleaning and reintegration to strengthen fragile objects, reveal original surface decoration, and restore shape. Interventive treatment makes an object more stable, but also more attractive and comprehensible to the viewer. It is usually undertaken on items that are to go on public display. The American Broadcasting Company (ABC) (stylized in its logo as abc since 1957) is an American commercial broadcast television network that is owned by the Disney–ABC Television Group, a subsidiary of Disney Media Networks division of The Walt Disney Company. The network is part of the Big Three television networks. The network is headquartered on Columbus Avenue and West 66th Street in Manhattan, with additional major offices and production facilities in New York City, Los Angeles and Burbank, California. ABC originally launched on October 12, 1943 as a radio network, separated from and serving as the successor to the NBC Blue Network, which had been purchased by Edward J. Noble. It extended its operations to television in 1948, following in the footsteps of established broadcast networks CBS and NBC. In the mid-1950s, ABC merged with United Paramount Theatres, a chain of movie theaters that formerly operated as a subsidiary of Paramount Pictures. Leonard Goldenson, who had been the head of UPT, made the new television network profitable by helping develop and greenlight many successful series. In the 1980s, after purchasing an 80% interest in cable sports channel ESPN, the network's parent merged with Capital Cities Communications, owner of several print publications, and television and radio stations. In 1996, most of Capital Cities/ABC's assets were purchased by The Walt Disney Company. The television network has eight owned-and-operated and over 232 affiliated television stations throughout the United States and its territories. Most Canadians have access to at least one U.S.-based ABC affiliate, either over-the-air (in areas located within proximity to the Canada–United States border) or through a cable, satellite or IPTV provider, although most ABC programs are subject to simultaneous substitution regulations imposed by the Canadian Radio-television and Telecommunications Commission that allow pay television providers to replace an American station's signal with the feed of a Canadian broadcaster to protect domestic programming rights and advertising revenue. ABC News provides news and features content for select radio stations owned by Citadel Broadcasting, which purchased the ABC Radio properties in 2007. ###Question: When did ABC first start? ###Answer: {'answer':'October 12, 1943'}
###Answer the question from the input provided. Please answer from input only. ###Input: On the other hand, higher economic inequality tends to increase entrepreneurship rates at the individual level (self-employment). However, most of it is often based on necessity rather than opportunity. Necessity-based entrepreneurship is motivated by survival needs such as income for food and shelter ("push" motivations), whereas opportunity-based entrepreneurship is driven by achievement-oriented motivations ("pull") such as vocation and more likely to involve the pursue of new products, services, or underserved market needs. The economic impact of the former type of entrepreneurialism tends to be redistributive while the latter is expected to foster technological progress and thus have a more positive impact on economic growth. Another cause is the rate at which income is taxed coupled with the progressivity of the tax system. A progressive tax is a tax by which the tax rate increases as the taxable base amount increases. In a progressive tax system, the level of the top tax rate will often have a direct impact on the level of inequality within a society, either increasing it or decreasing it, provided that income does not change as a result of the change in tax regime. Additionally, steeper tax progressivity applied to social spending can result in a more equal distribution of income across the board. The difference between the Gini index for an income distribution before taxation and the Gini index after taxation is an indicator for the effects of such taxation. An important factor in the creation of inequality is variation in individuals' access to education. Education, especially in an area where there is a high demand for workers, creates high wages for those with this education, however, increases in education first increase and then decrease growth as well as income inequality. As a result, those who are unable to afford an education, or choose not to pursue optional education, generally receive much lower wages. The justification for this is that a lack of education leads directly to lower incomes, and thus lower aggregate savings and investment. Conversely, education raises incomes and promotes growth because it helps to unleash the productive potential of the poor. In 2014, economists with the Standard & Poor's rating agency concluded that the widening disparity between the U.S.'s wealthiest citizens and the rest of the nation had slowed its recovery from the 2008-2009 recession and made it more prone to boom-and-bust cycles. To partially remedy the wealth gap and the resulting slow growth, S&P recommended increasing access to education. It estimated that if the average United States worker had completed just one more year of school, it would add an additional $105 billion in growth to the country's economy over five years. During the mass high school education movement from 1910–1940, there was an increase in skilled workers, which led to a decrease in the price of skilled labor. High school education during the period was designed to equip students with necessary skill sets to be able to perform at work. In fact, it differs from the present high school education, which is regarded as a stepping-stone to acquire college and advanced degrees. This decrease in wages caused a period of compression and decreased inequality between skilled and unskilled workers. Education is very important for the growth of the economy, however educational inequality in gender also influence towards the economy. Lagerlof and Galor stated that gender inequality in education can result to low economic growth, and continued gender inequality in education, thus creating a poverty trap. It is suggested that a large gap in male and female education may indicate backwardness and so may be associated with lower economic growth, which can explain why there is economic inequality between countries. ###Question: What did Standard & Poor recommend to speed economy recovery? ###Answer: {'answer':'increasing access to education'}
###Answer the question from the input provided. Please answer from input only. ###Input: Notable alumni in the field of government and politics include the founder of modern community organizing Saul Alinsky, Obama campaign advisor and top political advisor to President Bill Clinton David Axelrod, Attorney General and federal judge Robert Bork, Attorney General Ramsey Clark, Prohibition agent Eliot Ness, Supreme Court Justice John Paul Stevens, Prime Minister of Canada William Lyon Mackenzie King, 11th Prime Minister of Poland Marek Belka, Governor of the Bank of Japan Masaaki Shirakawa, the first female African-American Senator Carol Moseley Braun, United States Senator from Vermont and 2016 Democratic Presidential Candidate Bernie Sanders, and former World Bank President Paul Wolfowitz. In literature, author of the New York Times bestseller Before I Fall Lauren Oliver, Pulitzer Prize winning novelist Philip Roth, Canadian-born Pulitzer Prize and Nobel Prize for Literature winning writer Saul Bellow, political philosopher, literary critic and author of the New York Times bestseller "The Closing of the American Mind" Allan Bloom, ''The Good War" author Studs Terkel, American writer, essayist, filmmaker, teacher, and political activist Susan Sontag, analytic philosopher and Stanford University Professor of Comparative Literature Richard Rorty, and American writer and satirist Kurt Vonnegut are notable alumni. In the arts and entertainment, minimalist composer Philip Glass, dancer, choreographer and leader in the field of dance anthropology Katherine Dunham, Bungie founder and developer of the Halo video game series Alex Seropian, Serial host Sarah Koenig, actor Ed Asner, Pulitzer Prize for Criticism winning film critic and the subject of the 2014 documentary film Life Itself Roger Ebert, director, writer, and comedian Mike Nichols, film director and screenwriter Philip Kaufman, and Carl Van Vechten, photographer and writer, are graduates. In science, alumni include astronomers Carl Sagan, a prominent contributor to the scientific research of extraterrestrial life, and Edwin Hubble, known for "Hubble's Law", NASA astronaut John M. Grunsfeld, geneticist James Watson, best known as one of the co-discoverers of the structure of DNA, experimental physicist Luis Alvarez, popular environmentalist David Suzuki, balloonist Jeannette Piccard, biologists Ernest Everett Just and Lynn Margulis, computer scientist Richard Hamming, the creator of the Hamming Code, lithium-ion battery developer John B. Goodenough, mathematician and Fields Medal recipient Paul Joseph Cohen, and geochemist Clair Cameron Patterson, who developed the uranium-lead dating method into lead-lead dating. Nuclear physicist and researcher Stanton Friedman, who worked on some early projects involving nuclear-powered spacecraft propulsion systems, is also a graduate (M.Sc). In economics, notable Nobel Memorial Prize in Economic Sciences winners Milton Friedman, a major advisor to Republican U.S. President Ronald Reagan and Conservative British Prime Minister Margaret Thatcher, George Stigler, Nobel laureate and proponent of regulatory capture theory, Gary Becker, an important contributor to the family economics branch of economics, Herbert A. Simon, responsible for the modern interpretation of the concept of organizational decision-making, Paul Samuelson, the first American to win the Nobel Memorial Prize in Economic Sciences, and Eugene Fama, known for his work on portfolio theory, asset pricing and stock market behaviour, are all graduates. American economist, social theorist, political philosopher, and author Thomas Sowell is also an alumnus. ###Question: Who is the founder of modern community organizing? ###Answer: {'answer':'Saul Alinsky'}
###Answer the question from the input provided. Please answer from input only. ###Input: Maxime Faget's preliminary Apollo design employed a cone-shaped command module, supported by one of several service modules providing propulsion and electrical power, sized appropriately for the space station, cislunar, and lunar landing missions. Once Kennedy's Moon landing goal became official, detailed design began of a Command/Service Module (CSM) in which the crew would spend the entire direct-ascent mission and lift off from the lunar surface for the return trip, after being soft-landed by a larger landing propulsion module. The final choice of lunar orbit rendezvous changed the CSM's role to the translunar ferry used to transport the crew, along with a new spacecraft, the Lunar Excursion Module (LEM, later shortened to Lunar Module, LM) which would take two men to the lunar surface and return them to the CSM. The Command Module (CM) was the conical crew cabin, designed to carry three astronauts from launch to lunar orbit and back to an Earth ocean landing. It was the only component of the Apollo spacecraft to survive without major configuration changes as the program evolved from the early Apollo study designs. Its exterior was covered with an ablative heat shield, and had its own reaction control system (RCS) engines to control its attitude and steer its atmospheric entry path. Parachutes were carried to slow its descent to splashdown. The module was 11.42 feet (3.48 m) tall, 12.83 feet (3.91 m) in diameter, and weighed approximately 12,250 pounds (5,560 kg). A cylindrical Service Module (SM) supported the Command Module, with a service propulsion engine and an RCS with propellants, and a fuel cell power generation system with liquid hydrogen and liquid oxygen reactants. A high-gain S-band antenna was used for long-distance communications on the lunar flights. On the extended lunar missions, an orbital scientific instrument package was carried. The Service Module was discarded just before re-entry. The module was 24.6 feet (7.5 m) long and 12.83 feet (3.91 m) in diameter. The initial lunar flight version weighed approximately 51,300 pounds (23,300 kg) fully fueled, while a later version designed to carry a lunar orbit scientific instrument package weighed just over 54,000 pounds (24,000 kg). North American Aviation won the contract to build the CSM, and also the second stage of the Saturn V launch vehicle for NASA. Because the CSM design was started early before the selection of lunar orbit rendezvous, the service propulsion engine was sized to lift the CSM off of the Moon, and thus was oversized to about twice the thrust required for translunar flight. Also, there was no provision for docking with the Lunar Module. A 1964 program definition study concluded that the initial design should be continued as Block I which would be used for early testing, while Block II, the actual lunar spacecraft, would incorporate the docking equipment and take advantage of the lessons learned in Block I development. The Lunar Module (LM) was designed to descend from lunar orbit to land two astronauts on the Moon and take them back to orbit to rendezvous with the Command Module. Not designed to fly through the Earth's atmosphere or return to Earth, its fuselage was designed totally without aerodynamic considerations, and was of an extremely lightweight construction. It consisted of separate descent and ascent stages, each with its own engine. The descent stage contained storage for the descent propellant, surface stay consumables, and surface exploration equipment. The ascent stage contained the crew cabin, ascent propellant, and a reaction control system. The initial LM model weighed approximately 33,300 pounds (15,100 kg), and allowed surface stays up to around 34 hours. An Extended Lunar Module weighed over 36,200 pounds (16,400 kg), and allowed surface stays of over 3 days. ###Question: Who was rewarded with building the CSM? ###Answer: {'answer':'North American Aviation'}