text
stringlengths
1.6k
12k
###Answer the question from the input provided. Please answer from input only. ###Input: Newcastle upon Tyne (RP: i/ˌnjuːkɑːsəl əˌpɒn ˈtaɪn/; Locally: i/njuːˌkæsəl əˌpən ˈtaɪn/), commonly known as Newcastle, is a city in Tyne and Wear, North East England, 103 miles (166 km) south of Edinburgh and 277 miles (446 km) north of London on the northern bank of the River Tyne, 8.5 mi (13.7 km) from the North Sea. Newcastle is the most populous city in the North East and Tyneside the eighth most populous conurbation in the United Kingdom. Newcastle is a member of the English Core Cities Group and is a member of the Eurocities network of European cities. Newcastle was part of the county of Northumberland until 1400, when it became a county itself, a status it retained until becoming part of Tyne and Wear in 1974.[not in citation given] The regional nickname and dialect for people from Newcastle and the surrounding area is Geordie. The city developed around the Roman settlement Pons Aelius and was named after the castle built in 1080 by Robert Curthose, William the Conqueror's eldest son. The city grew as an important centre for the wool trade in the 14th century, and later became a major coal mining area. The port developed in the 16th century and, along with the shipyards lower down the River Tyne, was amongst the world's largest shipbuilding and ship-repairing centres. Newcastle's economy includes corporate headquarters, learning, digital technology, retail, tourism and cultural centres, from which the city contributes £13 billion towards the United Kingdom's GVA. Among its icons are Newcastle Brown Ale; Newcastle United football club; and the Tyne Bridge. It has hosted the world's most popular half marathon, the Great North Run, since it began in 1981. The first recorded settlement in what is now Newcastle was Pons Aelius, a Roman fort and bridge across the River Tyne. It was given the family name of the Roman Emperor Hadrian, who founded it in the 2nd century AD. This rare honour suggests that Hadrian may have visited the site and instituted the bridge on his tour of Britain. The population of Pons Aelius at this period was estimated at 2,000. Fragments of Hadrian's Wall are still visible in parts of Newcastle, particularly along the West Road. The course of the "Roman Wall" can be traced eastwards to the Segedunum Roman fort in Wallsend—the "wall's end"—and to the supply fort Arbeia in South Shields. The extent of Hadrian's Wall was 73 miles (117 km), spanning the width of Britain; the Wall incorporated the Vallum, a large rearward ditch with parallel mounds, and was constructed primarily for defence, to prevent unwanted immigration and the incursion of Pictish tribes from the north, not as a fighting line for a major invasion. Throughout the Middle Ages, Newcastle was England's northern fortress. Incorporated first by Henry II, the city had a new charter granted by Elizabeth in 1589. A 25-foot (7.6 m) high stone wall was built around the town in the 13th century, to defend it from invaders during the Border war against Scotland. The Scots king William the Lion was imprisoned in Newcastle in 1174, and Edward I brought the Stone of Scone and William Wallace south through the town. Newcastle was successfully defended against the Scots three times during the 14th century, and was created a county corporate with its own sheriff by Henry IV in 1400. From 1530 a royal act restricted all shipments of coal from Tyneside to Newcastle Quayside, giving a monopoly in the coal trade to a cartel of Newcastle burgesses known as the Hostmen. This monopoly, which lasted for a considerable time, helped Newcastle prosper and develop into a major town. The phrase taking coals to Newcastle was first recorded contextually in 1538. The phrase itself means a pointless pursuit. In the 18th century American Timothy Dexter, an entrepreneur, widely regarded as an eccentric, defied this idiom. He was persuaded to sail a shipment of coal to Newcastle by merchants plotting to ruin him; however his shipment arrived on the Tyne during a strike that had crippled local production; unexpectedly he made a considerable profit. ###Question: Who built a castle in Newcastle in 1080? ###Answer: {'answer':'Robert Curthose'}
###Answer the question from the input provided. Please answer from input only. ###Input: Tesla also explained the principles of the rotating magnetic field in an induction motor by demonstrating how to make a copper egg stand on end using a device he constructed known as the Egg of Columbus. On 11 July 1934, the New York Herald Tribune published an article on Tesla, in which he recalled an event that would occasionally take place while experimenting with his single-electrode vacuum tubes; a minute particle would break off the cathode, pass out of the tube, and physically strike him. "Tesla said he could feel a sharp stinging pain where it entered his body, and again at the place where it passed out." In comparing these particles with the bits of metal projected by his "electric gun," Tesla said, "The particles in the beam of force ... will travel much faster than such particles ... and they will travel in concentrations." Tesla's theories on the possibility of the transmission by radio waves go back as far as lectures and demonstrations in 1893 in St. Louis, Missouri, the Franklin Institute in Philadelphia, Pennsylvania, and the National Electric Light Association. Tesla's demonstrations and principles were written about widely through various media outlets. Many devices such as the Tesla Coil were used in the further development of radio. In 1898, Tesla demonstrated a radio-controlled boat—which he dubbed "teleautomaton"—to the public during an electrical exhibition at Madison Square Garden. The crowd that witnessed the demonstration made outrageous claims about the workings of the boat, such as magic, telepathy, and being piloted by a trained monkey hidden inside. Tesla tried to sell his idea to the U.S. military as a type of radio-controlled torpedo, but they showed little interest. Remote radio control remained a novelty until World War I and afterward, when a number of countries used it in military programs. Tesla took the opportunity to further demonstrate "Teleautomatics" in an address to a meeting of the Commercial Club in Chicago, while he was travelling to Colorado Springs, on 13 May 1899. In 1900, Tesla was granted patents for a "system of transmitting electrical energy" and "an electrical transmitter." When Guglielmo Marconi made his famous first-ever transatlantic radio transmission in 1901, Tesla quipped that it was done with 17 Tesla patents, though there is little to support this claim. This was the beginning of years of patent battles over radio with Tesla's patents being upheld in 1903, followed by a reverse decision in favor of Marconi in 1904. In 1943, a Supreme Court of the United States decision restored the prior patents of Tesla, Oliver Lodge, and John Stone. The court declared that their decision had no bearing on Marconi's claim as the first to achieve radio transmission, just that since Marconi's claim to certain patents were questionable, he could not claim infringement on those same patents (there are claims the high court was trying to nullify a World War I claim against the U.S. government by the Marconi Company via simply restoring Tesla's prior patent). ###Question: When did Tesla attain his electrical transmitter patent? ###Answer: {'answer':'1900'}
###Answer the question from the input provided. Please answer from input only. ###Input: These kinds of programs presented ABC with an image of the "philosophy of counterprogramming against its competitors", offering a strong lineup of programs that contrasted with those seen on its rival networks, which helped Goldenson give the network a continuum between film and television. ABC's western series (as well as series such as the actioner Zorro) went up against and defeated the variety shows aired by NBC and CBS in the fall of 1957, and its detective shows did the same in the fall of 1959. To captivate the network's audiences, short 66-minute series were scheduled a half-hour before their hour-long competition. In May 1961, Life criticized the public enthusiasm and sponsorship for these types of shows at the expense of news programming and denounced an unofficial law "replacing the good programs with the bad ones". In May 2013, ABC launched "WATCH ABC", a revamp of its traditional multi-platform streaming services encompassing the network's existing streaming portal at ABC.com and a mobile app for smartphones and tablet computers; in addition to providing full-length episodes of ABC programs, the service allows live programming streams of local ABC affiliates in select markets (the first such offering by a U.S. broadcast network). Similar to sister network ESPN's WatchESPN service (which originated the "WATCH" brand used by the streaming services of Disney's television networks), live streams of ABC stations are only available to authenticated subscribers of participating pay television providers in certain markets. New York City O&O WABC-TV and Philadelphia O&O WPVI-TV were the first stations to offer streams of their programming on the service (with a free preview for non-subscribers through June 2013), with the six remaining ABC O&Os offering streams by the start of the 2013–14 season. Hearst Television also reached a deal to offer streams of its ABC affiliates (including stations in Boston, Kansas City, Milwaukee and West Palm Beach) on the service. The Sinclair Broadcast Group is the largest operator of ABC stations by numerical total, owning or providing services to 28 ABC affiliates and two additional subchannel-only affiliates; Sinclair owns the largest ABC subchannel affiliate by market size, WABM-DT2/WDBB-DT2 in the Birmingham market, which serve as repeaters of WBMA-LD (the largest low-power "Big Four" affiliate by market size, which itself is also simulcast on a subchannel of former WBMA satellite WGWW, owned by Sinclair partner company Howard Stirk Holdings). The E. W. Scripps Company is the largest operator of ABC stations in terms of overall market reach, owning 15 ABC-affiliated stations (including affiliates in larger markets such as Cleveland, Phoenix, Detroit and Denver), and through its ownership of Phoenix affiliate KNXV, Las Vegas affiliate KTNV-TV and Tucson affiliate KGUN-TV, the only provider of ABC programming for the majority of Arizona (outside of the Yuma-El Centro market) and Southern Nevada. On June 16, 2007, ABC began to phase in a new imaging campaign for the upcoming 2007–08 season, "Start Here". Also developed by Troika, the on-air design was intended to emphasize the availability of ABC content across multiple platforms (in particular, using a system of icons representing different devices, such as television, computers and mobile devices), and "simplify and bring a lot more consistency and continuity to the visual representation of ABC". The ABC logo was also significantly redesigned as part of the transition, with a glossy "ball" effect that was specifically designed for HD. On-air, the logo was accompanied by animated water and ribbon effects. Red ribbons were used to represent the entertainment division, while blue ribbons were used for ABC News. The network has the unusual distinction of having separately owned and operated affiliates which serve the same market in Tampa, Florida (WFTS-TV and WWSB) and Grand Rapids, Michigan (WZZM and WOTV), with an analogous situation arising in Kansas City, Missouri (KMBC-TV and KQTV). KQTV is licensed to St. Joseph, Missouri, which is designated by Nielsen as a separate market from Kansas City despite being located within 55 miles (89 km) of one another, while WWSB and WOTV serve areas that do not receive an adequate signal from their market's primary ABC affiliate (in the case of WWSB, this dates back to when WTSP was Tampa's primary ABC affiliate prior to 1994, with the former being necessitated to serve the southern part of the Tampa market including the station's city of license, Sarasota, due to WTSP's transmitter being short-spaced to avoid interfering with the analog signal of Miami affiliate WPLG – which like WTSP, broadcast on VHF channel 10). ###Question: What was the name for the imaging campaign ABC began in 2007? ###Answer: {'answer':'Start Here'}
###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: Which work of Luther's is effective in teaching children? ###Answer: {'answer':'Small Catechism'}
###Answer the question from the input provided. Please answer from input only. ###Input: Some of the oldest schools in South Africa are private church schools that were established by missionaries in the early nineteenth century. The private sector has grown ever since. After the abolition of apartheid, the laws governing private education in South Africa changed significantly. The South African Schools Act of 1996 recognises two categories of schools: "public" (state-controlled) and "independent" (which includes traditional private schools and schools which are privately governed[clarification needed].) In the final years of the apartheid era, parents at white government schools were given the option to convert to a "semi-private" form called Model C, and many of these schools changed their admissions policies to accept children of other races. Following the transition to democracy, the legal form of "Model C" was abolished, however, the term continues to be used to describe government schools formerly reserved for white children.. These schools tend to produce better academic results than government schools formerly reserved for other race groups . Former "Model C" schools are not private schools, as they are state-controlled. All schools in South Africa (including both independent schools and public schools) have the right to set compulsory school fees, and formerly model C schools tend to set much higher school fees than other public schools. In Sweden, pupils are free to choose a private school and the private school gets paid the same amount as municipal schools. Over 10% of Swedish pupils were enrolled in private schools in 2008. Sweden is internationally known for this innovative school voucher model that provides Swedish pupils with the opportunity to choose the school they prefer. For instance, the biggest school chain, Kunskapsskolan (“The Knowledge School”), offers 30 schools and a web-based environment, has 700 employees and teaches nearly 10,000 pupils. The Swedish system has been recommended to Barack Obama. Private schools generally prefer to be called independent schools, because of their freedom to operate outside of government and local government control. Some of these are also known as public schools. Preparatory schools in the UK prepare pupils aged up to 13 years old to enter public schools. The name "public school" is based on the fact that the schools were open to pupils from anywhere, and not merely to those from a certain locality, and of any religion or occupation. According to The Good Schools Guide approximately 9 per cent of children being educated in the UK are doing so at fee-paying schools at GSCE level and 13 per cent at A-level.[citation needed] Many independent schools are single-sex (though this is becoming less common). Fees range from under £3,000 to £21,000 and above per year for day pupils, rising to £27,000+ per year for boarders. For details in Scotland, see "Meeting the Cost". In many parts of the United States, after the 1954 decision in the landmark court case Brown v. Board of Education of Topeka that demanded United States schools desegregate "with all deliberate speed", local families organized a wave of private "Christian academies". In much of the U.S. South, many white students migrated to the academies, while public schools became in turn more heavily concentrated with African-American students (see List of private schools in Mississippi). The academic content of the academies was usually College Preparatory. Since the 1970s, many of these "segregation academies" have shut down, although some continue to operate.[citation needed] ###Question: What court case desegregated schools in the United States? ###Answer: {'answer':'Brown v. Board of Education of Topeka'}
###Answer the question from the input provided. Please answer from input only. ###Input: Orientalism, as theorized by Edward Said, refers to how the West developed an imaginative geography of the East. This imaginative geography relies on an essentializing discourse that represents neither the diversity nor the social reality of the East. Rather, by essentializing the East, this discourse uses the idea of place-based identities to create difference and distance between "we" the West and "them" the East, or "here" in the West and "there" in the East. This difference was particularly apparent in textual and visual works of early European studies of the Orient that positioned the East as irrational and backward in opposition to the rational and progressive West. Defining the East as a negative vision of itself, as its inferior, not only increased the West’s sense of self, but also was a way of ordering the East and making it known to the West so that it could be dominated and controlled. The discourse of Orientalism therefore served as an ideological justification of early Western imperialism, as it formed a body of knowledge and ideas that rationalized social, cultural, political, and economic control of other territories. To better illustrate this idea, Bassett focuses his analysis of the role of nineteenth-century maps during the "scramble for Africa". He states that maps "contributed to empire by promoting, assisting, and legitimizing the extension of French and British power into West Africa". During his analysis of nineteenth-century cartographic techniques, he highlights the use of blank space to denote unknown or unexplored territory. This provided incentives for imperial and colonial powers to obtain "information to fill in blank spaces on contemporary maps". Imperialism has played an important role in the histories of Japan, Korea, the Assyrian Empire, the Chinese Empire, the Roman Empire, Greece, the Byzantine Empire, the Persian Empire, the Ottoman Empire, Ancient Egypt, the British Empire, India, and many other empires. Imperialism was a basic component to the conquests of Genghis Khan during the Mongol Empire, and of other war-lords. Historically recognized Muslim empires number in the dozens. Sub-Saharan Africa has also featured dozens of empires that predate the European colonial era, for example the Ethiopian Empire, Oyo Empire, Asante Union, Luba Empire, Lunda Empire, and Mutapa Empire. The Americas during the pre-Columbian era also had large empires such as the Aztec Empire and the Incan Empire. Cultural imperialism is when a country's influence is felt in social and cultural circles, i.e. its soft power, such that it changes the moral, cultural and societal worldview of another. This is more than just "foreign" music, television or film becoming popular with young people, but that popular culture changing their own expectations of life and their desire for their own country to become more like the foreign country depicted. For example, depictions of opulent American lifestyles in the soap opera Dallas during the Cold War changed the expectations of Romanians; a more recent example is the influence of smuggled South Korean drama series in North Korea. The importance of soft power is not lost on authoritarian regimes, fighting such influence with bans on foreign popular culture, control of the internet and unauthorised satellite dishes etc. Nor is such a usage of culture recent, as part of Roman imperialism local elites would be exposed to the benefits and luxuries of Roman culture and lifestyle, with the aim that they would then become willing participants. The Age of Imperialism, a time period beginning around 1700, saw (generally European) industrializing nations engaging in the process of colonizing, influencing, and annexing other parts of the world in order to gain political power.[citation needed] Although imperialist practices have existed for thousands of years, the term "Age of Imperialism" generally refers to the activities of European powers from the early 18th century through to the middle of the 20th century, for example, the "The Great Game" in Persian lands, the "Scramble for Africa" and the "Open Door Policy" in China. ###Question: During which era did the Aztec and Incan empires thrive? ###Answer: {'answer':'the pre-Columbian era'}
###Answer the question from the input provided. Please answer from input only. ###Input: In the early years, many Huguenots also settled in the area of present-day Charleston, South Carolina. In 1685, Rev. Elie Prioleau from the town of Pons in France, was among the first to settle there. He became pastor of the first Huguenot church in North America in that city. After the Revocation of the Edict of Nantes in 1685, several Huguenot families of Norman and Carolingian nobility and descent, including Edmund Bohun of Suffolk England from the Humphrey de Bohun line of French royalty descended from Charlemagne, Jean Postell of Dieppe France, Alexander Pepin, Antoine Poitevin of Orsement France, and Jacques de Bordeaux of Grenoble, immigrated to the Charleston Orange district. They were very successful at marriage and property speculation. After petitioning the British Crown in 1697 for the right to own land in the Baronies, they prospered as slave owners on the Cooper, Ashepoo, Ashley and Santee River plantations they purchased from the British Landgrave Edmund Bellinger. Some of their descendants moved into the Deep South and Texas, where they developed new plantations. Stadtholder William III of Orange, who later became King of England, emerged as the strongest opponent of king Louis XIV after the French attacked the Dutch Republic in 1672. William formed the League of Augsburg as a coalition to oppose Louis and the French state. Consequently, many Huguenots considered the wealthy and Calvinist Dutch Republic, which led the opposition to Louis XIV, as the most attractive country for exile after the revocation of the Edict of Nantes. They also found many French-speaking Calvinist churches there. Renewed religious warfare in the 1620s caused the political and military privileges of the Huguenots to be abolished following their defeat. They retained the religious provisions of the Edict of Nantes until the rule of Louis XIV, who progressively increased persecution of them until he issued the Edict of Fontainebleau (1685), which abolished all legal recognition of Protestantism in France, and forced the Huguenots to convert. While nearly three-quarters eventually were killed or submitted, roughly 500,000 Huguenots had fled France by the early 18th century[citation needed]. The Catholic Church in France and many of its members opposed the Huguenots. Some Huguenot preachers and congregants were attacked as they attempted to meet for worship. The height of this persecution was the St. Bartholomew's Day massacre when 5,000 to 30,000 were killed, although there were also underlying political reasons for this as well, as some of the Huguenots were nobles trying to establish separate centers of power in southern France. Retaliating against the French Catholics, the Huguenots had their own militia. By 1620 the Huguenots were on the defensive, and the government increasingly applied pressure. A series of three small civil wars known as the Huguenot rebellions broke out, mainly in southwestern France, between 1621 and 1629. revolted against royal authority. The uprising occurred a decade following the death of Henry IV, a Huguenot before converting to Catholicism, who had protected Protestants through the Edict of Nantes. His successor Louis XIII, under the regency of his Italian Catholic mother Marie de' Medici, became more intolerant of Protestantism. The Huguenots respond by establishing independent political and military structures, establishing diplomatic contacts with foreign powers, and openly revolting against central power. The rebellions were implacably suppressed by the French Crown.[citation needed] ###Question: When did these rebellions take place? ###Answer: {'answer':'between 1621 and 1629'}
###Answer the question from the input provided. Please answer from input only. ###Input: Kenya’s armed forces, like many government institutions in the country, have been tainted by corruption allegations. Because the operations of the armed forces have been traditionally cloaked by the ubiquitous blanket of “state security”, the corruption has been less in public view, and thus less subject to public scrutiny and notoriety. This has changed recently. In what are by Kenyan standards unprecedented revelations, in 2010, credible claims of corruption were made with regard to recruitment and procurement of Armoured Personnel Carriers. Further, the wisdom and prudence of certain decisions of procurement have been publicly questioned. Although Kenya is the biggest and most advanced economy in east and central Africa, and has an affluent urban minority, it has a Human Development Index (HDI) of 0.519, ranked 145 out of 186 in the world. As of 2005, 17.7% of Kenyans lived on less than $1.25 a day. The important agricultural sector is one of the least developed and largely inefficient, employing 75% of the workforce compared to less than 3% in the food secure developed countries. Kenya is usually classified as a frontier market or occasionally an emerging market, but it is not one of the least developed countries. East and Central Africa's biggest economy has posted tremendous growth in the service sector, boosted by rapid expansion in telecommunication and financial activity over the last decade, and now[when?] contributes 62% of GDP. 22% of GDP still comes from the unreliable agricultural sector which employs 75% of the labour force (a consistent characteristic of under-developed economies that have not attained food security – an important catalyst of economic growth) A small portion of the population relies on food aid.[citation needed] Industry and manufacturing is the smallest sector, accounting for 16% of GDP. The service, industry and manufacturing sectors only employ 25% of the labour force but contribute 75% of GDP. Kenya's services sector, which contributes 61% of GDP, is dominated by tourism. The tourism sector has exhibited steady growth in most years since independence and by the late 1980s had become the country's principal source of foreign exchange. Tourists, the largest number being from Germany and the United Kingdom, are attracted mainly to the coastal beaches and the game reserves, notably, the expansive East and West Tsavo National Park 20,808 square kilometres (8,034 sq mi) in the southeast. Tourism has seen a substantial revival over the past several years and is the major contributor to the pick-up in the country's economic growth. Tourism is now Kenya's largest foreign exchange earning sector, followed by flowers, tea, and coffee. In 2006 tourism generated US$803 million, up from US$699 million the previous year. Presently, there are also numerous Shopping Malls in Kenya. In addition, there are four main hypermarket chains in Kenya. Agriculture is the second largest contributor to Kenya's gross domestic product (GDP), after the service sector. In 2005 agriculture, including forestry and fishing, accounted for 24% of GDP, as well as for 18% of wage employment and 50% of revenue from exports. The principal cash crops are tea, horticultural produce, and coffee. Horticultural produce and tea are the main growth sectors and the two most valuable of all of Kenya's exports. The production of major food staples such as corn is subject to sharp weather-related fluctuations. Production downturns periodically necessitate food aid—for example, in 2004 aid for 1.8 million people because of one of Kenya's intermittent droughts.[citation needed] ###Question: What is Kenya's HDI? ###Answer: {'answer':'0.519, ranked 145 out of 186 in the world'}
###Answer the question from the input provided. Please answer from input only. ###Input: OPEC soon lost its preeminent position, and in 1981, its production was surpassed by that of other countries. Additionally, its own member nations were divided. Saudi Arabia, trying to recover market share, increased production, pushing prices down, shrinking or eliminating profits for high-cost producers. The world price, which had peaked during the 1979 energy crisis at nearly $40 per barrel, decreased during the 1980s to less than $10 per barrel. Adjusted for inflation, oil briefly fell back to pre-1973 levels. This "sale" price was a windfall for oil-importing nations, both developing and developed. The Apollo program, also known as Project Apollo, was the third United States human spaceflight program carried out by the National Aeronautics and Space Administration (NASA), which accomplished landing the first humans on the Moon from 1969 to 1972. First conceived during Dwight D. Eisenhower's administration as a three-man spacecraft to follow the one-man Project Mercury which put the first Americans in space, Apollo was later dedicated to President John F. Kennedy's national goal of "landing a man on the Moon and returning him safely to the Earth" by the end of the 1960s, which he proposed in a May 25, 1961, address to Congress. Project Mercury was followed by the two-man Project Gemini (1962–66). The first manned flight of Apollo was in 1968. Apollo ran from 1961 to 1972, and was supported by the two-man Gemini program which ran concurrently with it from 1962 to 1966. Gemini missions developed some of the space travel techniques that were necessary for the success of the Apollo missions. Apollo used Saturn family rockets as launch vehicles. Apollo/Saturn vehicles were also used for an Apollo Applications Program, which consisted of Skylab, a space station that supported three manned missions in 1973–74, and the Apollo–Soyuz Test Project, a joint Earth orbit mission with the Soviet Union in 1975. The Apollo program succeeded in achieving its goal of manned lunar landing, despite the major setback of a 1967 Apollo 1 cabin fire that killed the entire crew during a prelaunch test. After the first landing, sufficient flight hardware remained for nine follow-on landings with a plan for extended lunar geological and astrophysical exploration. Budget cuts forced the cancellation of three of these. Five of the remaining six missions achieved successful landings, but the Apollo 13 landing was prevented by an oxygen tank explosion in transit to the Moon, which disabled the command spacecraft's propulsion and life support. The crew returned to Earth safely by using the Lunar Module as a "lifeboat" for these functions. Apollo set several major human spaceflight milestones. It stands alone in sending manned missions beyond low Earth orbit. Apollo 8 was the first manned spacecraft to orbit another celestial body, while the final Apollo 17 mission marked the sixth Moon landing and the ninth manned mission beyond low Earth orbit. The program returned 842 pounds (382 kg) of lunar rocks and soil to Earth, greatly contributing to the understanding of the Moon's composition and geological history. The program laid the foundation for NASA's current human spaceflight capability, and funded construction of its Johnson Space Center and Kennedy Space Center. Apollo also spurred advances in many areas of technology incidental to rocketry and manned spaceflight, including avionics, telecommunications, and computers. ###Question: What was the first spacecraft to orbit another celestial body? ###Answer: {'answer':'Apollo 8'}
###Answer the question from the input provided. Please answer from input only. ###Input: Another position in the United Methodist Church is that of the lay servant. Although not considered clergy, lay speakers often preach during services of worship when an ordained elder, Local Pastor, Associate Member or deacon is unavailable. There are two categories of lay servants: local church lay servant, who serve in and through their local churches, and certified lay servants, who serve in their own churches, in other churches, and through district or conference projects and programs. To be recognized as local church lay servant, they must be recommended by their pastor and Church Council or Charge Conference, and complete the basic course for lay servant. Each year they must reapply, reporting how they have served and continued to learn during that year. To be recognized as certified lay servant, they must be recommended by their pastor and Church Council or Charge Conference, complete the basic course and one advanced lay servant course, and be interviewed by the District or Conference Committee on Lay Speaking. They must report and reapply annually; and they must complete at least one advanced course every three years. The United Methodist Church is one tradition within the Christian Church. The United Methodist Church is active in ecumenical relations with other Christian groups and denominations. It is a member of the National Council of Churches, the World Council of Churches, Churches Uniting in Christ, and Christian Churches Together. In addition, it voted to seek observer status in the National Association of Evangelicals and in the World Evangelical Fellowship. However, there are some in The United Methodist Church who feel that false ecumenism might result in the "blurring of theological and confessional differences in the interests of unity." The United Methodist Church has since 1985 been exploring a possible merger with three historically African-American Methodist denominations: the African Methodist Episcopal Church, the African Methodist Episcopal Zion Church, and the Christian Methodist Episcopal Church. A Commission on Pan Methodist Cooperation and Union formed in 2000 to carry out work on such a merger. In May 2012, The United Methodist Church entered into full communion with the African Methodist Episcopal Church, African Methodist Episcopal Zion Church, African Union Methodist Protestant Church, Christian Methodist Episcopal Church, and Union American Methodist Episcopal Church, in which these Churches agreed to "recognize each other's churches, share sacraments, and affirm their clergy and ministries." Like many other mainline Protestant denominations in the United States, the United Methodist Church has experienced significant membership losses in recent decades. At the time of its formation, the UMC had about 11 million members in nearly 42,000 congregations. In 1975, membership dropped below 10 million for the first time. In 2005, there were about 8 million members in over 34,000 congregations. Membership is concentrated primarily in the Midwest and in the South. Texas has the largest number of members, with about 1 million. The states with the highest membership rates are Oklahoma, Iowa, Mississippi, West Virginia, and North Carolina. By the opening of the 2008 General Conference, total UMC membership was estimated at 11.4 million, with about 7.9 million in the U.S. and 3.5 million overseas. Significantly, about 20% of the conference delegates were from Africa, with Filipinos and Europeans making up another 10%. During the conference, the delegates voted to finalize the induction of the Methodist Church of the Ivory Coast and its 700,000 members into the denomination. Given current trends in the UMC—with overseas churches growing, especially in Africa, and U.S. churches collectively losing about 1,000 members a week—it has been estimated that Africans will make up at least 30% of the delegates at the 2012 General Conference, and it is also possible that 40% of the delegates will be from outside the U.S. One Congolese bishop has estimated that typical Sunday attendance of the UMC is higher in his country than in the entire United States. ###Question: Local church and certified are two types of what? ###Answer: {'answer':'lay servants'}
###Answer the question from the input provided. Please answer from input only. ###Input: Virgin Media (re-branded in 2007 from NTL:Telewest) started to offer a high-definition television (HDTV) capable set top box, although from 30 November 2006 until 30 July 2009 it only carried one linear HD channel, BBC HD, after the conclusion of the ITV HD trial. Virgin Media has claimed that other HD channels were "locked up" or otherwise withheld from their platform, although Virgin Media did in fact have an option to carry Channel 4 HD in the future. Nonetheless, the linear channels were not offered, Virgin Media instead concentrating on its Video On Demand service to carry a modest selection of HD content. Virgin Media has nevertheless made a number of statements over the years, suggesting that more linear HD channels are on the way. BSkyB's direct-to-home satellite service became available in 10 million homes in 2010, Europe's first pay-TV platform in to achieve that milestone. Confirming it had reached its target, the broadcaster said its reach into 36% of households in the UK represented an audience of more than 25m people. The target was first announced in August 2004, since then an additional 2.4m customers had subscribed to BSkyB's direct-to-home service. Media commentators had debated whether the figure could be reached as the growth in subscriber numbers elsewhere in Europe flattened. The Daily Mail newspaper reported in 2012 that the UK government's benefits agency was checking claimants' "Sky TV bills to establish if a woman in receipt of benefits as a single mother is wrongly claiming to be living alone" – as, it claimed, subscription to sports channels would betray a man's presence in the household. In December, the UK’s parliament heard a claim that a subscription to BSkyB was ‘often damaging’, along with alcohol, tobacco and gambling. Conservative MP Alec Shelbrooke was proposing the payments of benefits and tax credits on a "Welfare Cash Card", in the style of the Supplemental Nutrition Assistance Program, that could be used to buy only "essentials". The agreements include fixed annual carriage fees of £30m for the channels with both channel suppliers able to secure additional capped payments if their channels meet certain performance-related targets. Currently there is no indication as to whether the new deal includes the additional Video On Demand and High Definition content which had previously been offered by BSkyB. As part of the agreements, both BSkyB and Virgin Media agreed to terminate all High Court proceedings against each other relating to the carriage of their respective basic channels. The economy of Victoria is highly diversified: service sectors including financial and property services, health, education, wholesale, retail, hospitality and manufacturing constitute the majority of employment. Victoria's total gross state product (GSP) is ranked second in Australia, although Victoria is ranked fourth in terms of GSP per capita because of its limited mining activity. Culturally, Melbourne is home to a number of museums, art galleries and theatres and is also described as the "sporting capital of Australia". The Melbourne Cricket Ground is the largest stadium in Australia, and the host of the 1956 Summer Olympics and the 2006 Commonwealth Games. The ground is also considered the "spiritual home" of Australian cricket and Australian rules football, and hosts the grand final of the Australian Football League (AFL) each year, usually drawing crowds of over 95,000 people. Victoria includes eight public universities, with the oldest, the University of Melbourne, having been founded in 1853. ###Question: What were the annual carriage fees for the channels? ###Answer: {'answer':'£30m'}
###Answer the question from the input provided. Please answer from input only. ###Input: Tamara de Lempicka was a famous artist born in Warsaw. She was born Maria Górska in Warsaw to wealthy parents and in 1916 married a Polish lawyer Tadeusz Łempicki. Better than anyone else she represented the Art Deco style in painting and art. Nathan Alterman, the Israeli poet, was born in Warsaw, as was Moshe Vilenski, the Israeli composer, lyricist, and pianist, who studied music at the Warsaw Conservatory. Warsaw was the beloved city of Isaac Bashevis Singer, which he described in many of his novels: Warsaw has just now been destroyed. No one will ever see the Warsaw I knew. Let me just write about it. Let this Warsaw not disappear forever, he commented. In 2012 the Economist Intelligence Unit ranked Warsaw as the 32nd most liveable city in the world. It was also ranked as one of the most liveable cities in Central Europe. Today Warsaw is considered an "Alpha–" global city, a major international tourist destination and a significant cultural, political and economic hub. Warsaw's economy, by a wide variety of industries, is characterised by FMCG manufacturing, metal processing, steel and electronic manufacturing and food processing. The city is a significant centre of research and development, BPO, ITO, as well as of the Polish media industry. The Warsaw Stock Exchange is one of the largest and most important in Central and Eastern Europe. Frontex, the European Union agency for external border security, has its headquarters in Warsaw. It has been said that Warsaw, together with Frankfurt, London, Paris and Barcelona is one of the cities with the highest number of skyscrapers in the European Union. Warsaw has also been called "Eastern Europe’s chic cultural capital with thriving art and club scenes and serious restaurants". The first historical reference to Warsaw dates back to the year 1313, at a time when Kraków served as the Polish capital city. Due to its central location between the Polish–Lithuanian Commonwealth's capitals of Kraków and Vilnius, Warsaw became the capital of the Commonwealth and of the Crown of the Kingdom of Poland when King Sigismund III Vasa moved his court from Kraków to Warsaw in 1596. After the Third Partition of Poland in 1795, Warsaw was incorporated into the Kingdom of Prussia. In 1806 during the Napoleonic Wars, the city became the official capital of the Grand Duchy of Warsaw, a puppet state of the First French Empire established by Napoleon Bonaparte. In accordance with the decisions of the Congress of Vienna, the Russian Empire annexed Warsaw in 1815 and it became part of the "Congress Kingdom". Only in 1918 did it regain independence from the foreign rule and emerge as a new capital of the independent Republic of Poland. The German invasion in 1939, the massacre of the Jewish population and deportations to concentration camps led to the uprising in the Warsaw ghetto in 1943 and to the major and devastating Warsaw Uprising between August and October 1944. Warsaw gained the title of the "Phoenix City" because it has survived many wars, conflicts and invasions throughout its long history. Most notably, the city required painstaking rebuilding after the extensive damage it suffered in World War II, which destroyed 85% of its buildings. On 9 November 1940, the city was awarded Poland's highest military decoration for heroism, the Virtuti Militari, during the Siege of Warsaw (1939). The city is the seat of a Roman Catholic archdiocese (left bank of the Vistula) and diocese (right bank), and possesses various universities, most notably the Polish Academy of Sciences and the University of Warsaw, two opera houses, theatres, museums, libraries and monuments. The historic city-centre of Warsaw with its picturesque Old Town in 1980 was listed as a UNESCO World Heritage Site. Other main architectural attractions include the Castle Square with the Royal Castle and the iconic King Sigismund's Column, St. John's Cathedral, Market Square, palaces, churches and mansions all displaying a richness of colour and architectural detail. Buildings represent examples of nearly every European architectural style and historical period. Warsaw provides many examples of architecture from the gothic, renaissance, baroque and neoclassical periods, and around a quarter of the city is filled with luxurious parks and royal gardens. Warsaw's name in the Polish language is Warszawa, approximately /vɑːrˈʃɑːvə/ (also formerly spelled Warszewa and Warszowa), meaning "belonging to Warsz", Warsz being a shortened form of the masculine name of Slavic origin Warcisław; see also etymology of Wrocław. Folk etymology attributes the city name to a fisherman, Wars, and his wife, Sawa. According to legend, Sawa was a mermaid living in the Vistula River with whom Wars fell in love. In actuality, Warsz was a 12th/13th-century nobleman who owned a village located at the modern-day site of Mariensztat neighbourhood. See also the Vršovci family which had escaped to Poland. The official city name in full is miasto stołeczne Warszawa (English: "The Capital City of Warsaw"). A native or resident of Warsaw is known as a Varsovian – in Polish warszawiak (male), warszawianka (female), warszawiacy (plural). ###Question: When is the first reference in history to Warsaw? ###Answer: {'answer':'1313'}
###Answer the question from the input provided. Please answer from input only. ###Input: Several project structures can assist the owner in this integration, including design-build, partnering and construction management. In general, each of these project structures allows the owner to integrate the services of architects, interior designers, engineers and constructors throughout design and construction. In response, many companies are growing beyond traditional offerings of design or construction services alone and are placing more emphasis on establishing relationships with other necessary participants through the design-build process. Construction projects can suffer from preventable financial problems. Underbids happen when builders ask for too little money to complete the project. Cash flow problems exist when the present amount of funding cannot cover the current costs for labour and materials, and because they are a matter of having sufficient funds at a specific time, can arise even when the overall total is enough. Fraud is a problem in many fields, but is notoriously prevalent in the construction field. Financial planning for the project is intended to ensure that a solid plan with adequate safeguards and contingency plans are in place before the project is started and is required to ensure that the plan is properly executed over the life of the project. Mortgage bankers, accountants, and cost engineers are likely participants in creating an overall plan for the financial management of the building construction project. The presence of the mortgage banker is highly likely, even in relatively small projects since the owner's equity in the property is the most obvious source of funding for a building project. Accountants act to study the expected monetary flow over the life of the project and to monitor the payouts throughout the process. Cost engineers and estimators apply expertise to relate the work and materials involved to a proper valuation. Cost overruns with government projects have occurred when the contractor identified change orders or project changes that increased costs, which are not subject to competition from other firms as they have already been eliminated from consideration after the initial bid. The project must adhere to zoning and building code requirements. Constructing a project that fails to adhere to codes does not benefit the owner. Some legal requirements come from malum in se considerations, or the desire to prevent things that are indisputably bad – bridge collapses or explosions. Other legal requirements come from malum prohibitum considerations, or things that are a matter of custom or expectation, such as isolating businesses to a business district and residences to a residential district. An attorney may seek changes or exemptions in the law that governs the land where the building will be built, either by arguing that a rule is inapplicable (the bridge design will not cause a collapse), or that the custom is no longer needed (acceptance of live-work spaces has grown in the community). A construction project is a complex net of contracts and other legal obligations, each of which all parties must carefully consider. A contract is the exchange of a set of obligations between two or more parties, but it is not so simple a matter as trying to get the other side to agree to as much as possible in exchange for as little as possible. The time element in construction means that a delay costs money, and in cases of bottlenecks, the delay can be extremely expensive. Thus, the contracts must be designed to ensure that each side is capable of performing the obligations set out. Contracts that set out clear expectations and clear paths to accomplishing those expectations are far more likely to result in the project flowing smoothly, whereas poorly drafted contracts lead to confusion and collapse. ###Question: What project structures assist the owner in integration? ###Answer: {'answer':'design-build, partnering and construction management'}
###Answer the question from the input provided. Please answer from input only. ###Input: One key figure in the plans for what would come to be known as American Empire, was a geographer named Isiah Bowman. Bowman was the director of the American Geographical Society in 1914. Three years later in 1917, he was appointed to then President Woodrow Wilson's inquiry in 1917. The inquiry was the idea of President Wilson and the American delegation from the Paris Peace Conference. The point of this inquiry was to build a premise that would allow for U.S authorship of a 'new world' which was to be characterized by geographical order. As a result of his role in the inquiry, Isiah Bowman would come to be known as Wilson's geographer. Some have described the internal strife between various people groups as a form of imperialism or colonialism. This internal form is distinct from informal U.S. imperialism in the form of political and financial hegemony. This internal form of imperialism is also distinct from the United States' formation of "colonies" abroad. Through the treatment of its indigenous peoples during westward expansion, the United States took on the form of an imperial power prior to any attempts at external imperialism. This internal form of empire has been referred to as "internal colonialism". Participation in the African slave trade and the subsequent treatment of its 12 to 15 million Africans is viewed by some to be a more modern extension of America's "internal colonialism". However, this internal colonialism faced resistance, as external colonialism did, but the anti-colonial presence was far less prominent due to the nearly complete dominance that the United States was able to assert over both indigenous peoples and African-Americans. In his lecture on April 16, 2003, Edward Said made a bold statement on modern imperialism in the United States, whom he described as using aggressive means of attack towards the contemporary Orient, "due to their backward living, lack of democracy and the violation of women’s rights. The western world forgets during this process of converting the other that enlightenment and democracy are concepts that not all will agree upon". The Ottoman Empire was an imperial state that lasted from 1299 to 1923. During the 16th and 17th centuries, in particular at the height of its power under the reign of Suleiman the Magnificent, the Ottoman Empire was a powerful multinational, multilingual empire controlling much of Southeast Europe, Western Asia, the Caucasus, North Africa, and the Horn of Africa. At the beginning of the 17th century the empire contained 32 provinces and numerous vassal states. Some of these were later absorbed into the empire, while others were granted various types of autonomy during the course of centuries. With Istanbul as its capital and control of lands around the Mediterranean basin, the Ottoman Empire was at the center of interactions between the Eastern and Western worlds for six centuries. Following a long period of military setbacks against European powers, the Ottoman Empire gradually declined into the late nineteenth century. The empire allied with Germany in the early 20th century, with the imperial ambition of recovering its lost territories, but it dissolved in the aftermath of World War I, leading to the emergence of the new state of Turkey in the Ottoman Anatolian heartland, as well as the creation of modern Balkan and Middle Eastern states, thus ending Turkish colonial ambitions. The United Methodist Church (UMC) is a mainline Protestant Methodist denomination. In the 19th century its main predecessor was a leader in Evangelicalism. Founded in 1968 by the union of the Methodist Church (USA) and the Evangelical United Brethren Church, the UMC traces its roots back to the revival movement of John and Charles Wesley in England as well as the Great Awakening in the United States. As such, the church's theological orientation is decidedly Wesleyan. It embraces both liturgical and evangelical elements. ###Question: Who was the director of the American Geographical Society in 1914? ###Answer: {'answer':'Isiah Bowman'}
###Answer the question from the input provided. Please answer from input only. ###Input: The first item of business on Wednesdays is usually Time for Reflection, at which a speaker addresses members for up to four minutes, sharing a perspective on issues of faith. This contrasts with the formal style of "Prayers", which is the first item of business in meetings of the House of Commons. Speakers are drawn from across Scotland and are chosen to represent the balance of religious beliefs according to the Scottish census. Invitations to address Parliament in this manner are determined by the Presiding Officer on the advice of the parliamentary bureau. Faith groups can make direct representations to the Presiding Officer to nominate speakers. The Presiding Officer (or Deputy Presiding Officer) decides who speaks in chamber debates and the amount of time for which they are allowed to speak. Normally, the Presiding Officer tries to achieve a balance between different viewpoints and political parties when selecting members to speak. Typically, ministers or party leaders open debates, with opening speakers given between 5 and 20 minutes, and succeeding speakers allocated less time. The Presiding Officer can reduce speaking time if a large number of members wish to participate in the debate. Debate is more informal than in some parliamentary systems. Members may call each other directly by name, rather than by constituency or cabinet position, and hand clapping is allowed. Speeches to the chamber are normally delivered in English, but members may use Scots, Gaelic, or any other language with the agreement of the Presiding Officer. The Scottish Parliament has conducted debates in the Gaelic language. Each sitting day, normally at 5 pm, MSPs decide on all the motions and amendments that have been moved that day. This "Decision Time" is heralded by the sounding of the division bell, which is heard throughout the Parliamentary campus and alerts MSPs who are not in the chamber to return and vote. At Decision Time, the Presiding Officer puts questions on the motions and amendments by reading out the name of the motion or amendment as well as the proposer and asking "Are we all agreed?", to which the chamber first votes orally. If there is audible dissent, the Presiding Officer announces "There will be a division" and members vote by means of electronic consoles on their desks. Each MSP has a unique access card with a microchip which, when inserted into the console, identifies them and allows them to vote. As a result, the outcome of each division is known in seconds. The outcome of most votes can be predicted beforehand since political parties normally instruct members which way to vote. Parties entrust some MSPs, known as whips, with the task of ensuring that party members vote according to the party line. MSPs do not tend to vote against such instructions, since those who do are unlikely to reach higher political ranks in their parties. Errant members can be deselected as official party candidates during future elections, and, in serious cases, may be expelled from their parties outright. Thus, as with many Parliaments, the independence of Members of the Scottish Parliament tends to be low, and backbench rebellions by members who are discontent with their party's policies are rare. In some circumstances, however, parties announce "free votes", which allows Members to vote as they please. This is typically done on moral issues. Immediately after Decision Time a "Members Debate" is held, which lasts for 45 minutes. Members Business is a debate on a motion proposed by an MSP who is not a Scottish minister. Such motions are on issues which may be of interest to a particular area such as a member's own constituency, an upcoming or past event or any other item which would otherwise not be accorded official parliamentary time. As well as the proposer, other members normally contribute to the debate. The relevant minister, whose department the debate and motion relate to "winds up" the debate by speaking after all other participants. ###Question: What can often be predicted beforehand? ###Answer: {'answer':'votes'}
###Answer the question from the input provided. Please answer from input only. ###Input: A consortium led by the International Crops Research Institute for the Semi-Arid Tropics (ICRISAT) has had some success in helping farmers grow new pigeon pea varieties, instead of maize, in particularly dry areas. Pigeon peas are very drought resistant, so can be grown in areas with less than 650 mm annual rainfall. Successive projects encouraged the commercialisation of legumes, by stimulating the growth of local seed production and agro-dealer networks for distribution and marketing. This work, which included linking producers to wholesalers, helped to increase local producer prices by 20–25% in Nairobi and Mombasa. The commercialisation of the pigeon pea is now enabling some farmers to buy assets, ranging from mobile phones to productive land and livestock, and is opening pathways for them to move out of poverty. Tea, coffee, sisal, pyrethrum, corn, and wheat are grown in the fertile highlands, one of the most successful agricultural production regions in Africa. Livestock predominates in the semi-arid savanna to the north and east. Coconuts, pineapples, cashew nuts, cotton, sugarcane, sisal, and corn are grown in the lower-lying areas. Unfortunately, the country has not attained the level of investment and efficiency in agriculture that can guarantee food security and coupled with resulting poverty (53% of the population lives below the poverty line), a significant portion of the population regularly starves and is heavily dependent on food aid. Poor roads, an inadequate railway network, under-used water transport and expensive air transport have isolated mostly arid and semi-arid areas and farmers in other regions often leave food to rot in the fields because they cannot access markets. This was last seen in August and September 2011 prompting the Kenyans for Kenya initiative by the Red Cross. Although Kenya is the most industrially developed country in the African Great Lakes region, manufacturing still accounts for only 14% of the GDP. Industrial activity, concentrated around the three largest urban centres, Nairobi, Mombasa and Kisumu, is dominated by food-processing industries such as grain milling, beer production, and sugarcane crushing, and the fabrication of consumer goods, e.g., vehicles from kits. There is a cement production industry.[citation needed] Kenya has an oil refinery that processes imported crude petroleum into petroleum products, mainly for the domestic market. In addition, a substantial and expanding informal sector commonly referred to as Jua Kali engages in small-scale manufacturing of household goods, motor-vehicle parts, and farm implements.[citation needed] Kenya's inclusion among the beneficiaries of the US Government's African Growth and Opportunity Act (AGOA) has given a boost to manufacturing in recent years. Since AGOA took effect in 2000, Kenya's clothing sales to the United States increased from US$44 million to US$270 million (2006).[citation needed] Other initiatives to strengthen manufacturing have been the new government's favourable tax measures, including the removal of duty on capital equipment and other raw materials.[citation needed] The largest share of Kenya's electricity supply comes from hydroelectric stations at dams along the upper Tana River, as well as the Turkwel Gorge Dam in the west. A petroleum-fired plant on the coast, geothermal facilities at Olkaria (near Nairobi), and electricity imported from Uganda make up the rest of the supply. Kenya's installed capacity stood at 1,142 megawatts between 2001 and 2003. The state-owned Kenya Electricity Generating Company (KenGen), established in 1997 under the name of Kenya Power Company, handles the generation of electricity, while Kenya Power handles the electricity transmission and distribution system in the country. Shortfalls of electricity occur periodically, when drought reduces water flow. To become energy sufficient, Kenya aims to build a nuclear power plant by 2017. ###Question: Where does the largest part of Kenya's power come from? ###Answer: {'answer':'hydroelectric stations at dams'}
###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: What was Tymnet ###Answer: {'answer':'an international data communications network headquartered in San Jose, CA'}
###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: Who patented a high-pressure compound engine in 1805? ###Answer: {'answer':'Arthur Woolf'}
###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: What was Temüjin' sister's name? ###Answer: {'answer':'Temülen'}
###Answer the question from the input provided. Please answer from input only. ###Input: Students at the University of Chicago run over 400 clubs and organizations known as Recognized Student Organizations (RSOs). These include cultural and religious groups, academic clubs and teams, and common-interest organizations. Notable extracurricular groups include the University of Chicago College Bowl Team, which has won 118 tournaments and 15 national championships, leading both categories internationally. The university's competitive Model United Nations team was the top ranked team in North America in 2013-14 and 2014-2015. Among notable RSOs are the nation's longest continuously running student film society Doc Films, organizing committee for the University of Chicago Scavenger Hunt, the twice-weekly student newspaper The Chicago Maroon, the alternative weekly student newspaper South Side Weekly, the nation's second oldest continuously running student improvisational theater troupe Off-Off Campus, and the university-owned radio station WHPK. All Recognized Student Organizations, from the University of Chicago Scavenger Hunt to Model UN, in addition to academic teams, sports club, arts groups, and more are funded by The University of Chicago Student Government. Student Government is made up of graduate and undergraduate students elected to represent members from their respective academic unit. It is led by an Executive Committee, chaired by a President with the assistance of two Vice Presidents, one for Administration and the other for Student Life, elected together as a slate by the student body each spring. Its annual budget is greater than $2 million. There are fifteen fraternities and seven sororities at the University of Chicago, as well as one co-ed community service fraternity, Alpha Phi Omega. Four of the sororities are members of the National Panhellenic Conference, and ten of the fraternities form the University of Chicago Interfraternity Council. In 2002, the Associate Director of Student Activities estimated that 8–10 percent of undergraduates were members of fraternities or sororities. The student activities office has used similar figures, stating that one in ten undergraduates participate in Greek life. Every May since 1987, the University of Chicago has held the University of Chicago Scavenger Hunt, in which large teams of students compete to obtain notoriously esoteric items from a list. Since 1963, the Festival of the Arts (FOTA) takes over campus for 7–10 days of exhibitions and interactive artistic endeavors. Every January, the university holds a week-long winter festival, Kuviasungnerk/Kangeiko, which include early morning exercise routines and fitness workshops. The university also annually holds a summer carnival and concert called Summer Breeze that hosts outside musicians, and is home to Doc Films, a student film society founded in 1932 that screens films nightly at the university. Since 1946, the university has organized the Latke-Hamantash Debate, which involves humorous discussions about the relative merits and meanings of latkes and hamantashen. In business, notable alumni include Microsoft CEO Satya Nadella, Oracle Corporation founder and the third richest man in America Larry Ellison, Goldman Sachs and MF Global CEO as well as former Governor of New Jersey Jon Corzine, McKinsey & Company founder and author of the first management accounting textbook James O. McKinsey, Arley D. Cathey, Bloomberg L.P. CEO Daniel Doctoroff, Credit Suisse CEO Brady Dougan, Morningstar, Inc. founder and CEO Joe Mansueto, Chicago Cubs owner and chairman Thomas S. Ricketts, and NBA commissioner Adam Silver. ###Question: Who makes up the Student Government? ###Answer: {'answer':'graduate and undergraduate students'}
###Answer the question from the input provided. Please answer from input only. ###Input: Many major classes of organic molecules in living organisms, such as proteins, nucleic acids, carbohydrates, and fats, contain oxygen, as do the major inorganic compounds that are constituents of animal shells, teeth, and bone. Most of the mass of living organisms is oxygen as it is a part of water, the major constituent of lifeforms. Oxygen is used in cellular respiration and released by photosynthesis, which uses the energy of sunlight to produce oxygen from water. It is too chemically reactive to remain a free element in air without being continuously replenished by the photosynthetic action of living organisms. Another form (allotrope) of oxygen, ozone (O 3), strongly absorbs UVB radiation and consequently the high-altitude ozone layer helps protect the biosphere from ultraviolet radiation, but is a pollutant near the surface where it is a by-product of smog. At even higher low earth orbit altitudes, sufficient atomic oxygen is present to cause erosion for spacecraft. In the late 17th century, Robert Boyle proved that air is necessary for combustion. English chemist John Mayow (1641–1679) refined this work by showing that fire requires only a part of air that he called spiritus nitroaereus or just nitroaereus. In one experiment he found that placing either a mouse or a lit candle in a closed container over water caused the water to rise and replace one-fourteenth of the air's volume before extinguishing the subjects. From this he surmised that nitroaereus is consumed in both respiration and combustion. In the meantime, on August 1, 1774, an experiment conducted by the British clergyman Joseph Priestley focused sunlight on mercuric oxide (HgO) inside a glass tube, which liberated a gas he named "dephlogisticated air". He noted that candles burned brighter in the gas and that a mouse was more active and lived longer while breathing it. After breathing the gas himself, he wrote: "The feeling of it to my lungs was not sensibly different from that of common air, but I fancied that my breast felt peculiarly light and easy for some time afterwards." Priestley published his findings in 1775 in a paper titled "An Account of Further Discoveries in Air" which was included in the second volume of his book titled Experiments and Observations on Different Kinds of Air. Because he published his findings first, Priestley is usually given priority in the discovery. One of the first known experiments on the relationship between combustion and air was conducted by the 2nd century BCE Greek writer on mechanics, Philo of Byzantium. In his work Pneumatica, Philo observed that inverting a vessel over a burning candle and surrounding the vessel's neck with water resulted in some water rising into the neck. Philo incorrectly surmised that parts of the air in the vessel were converted into the classical element fire and thus were able to escape through pores in the glass. Many centuries later Leonardo da Vinci built on Philo's work by observing that a portion of air is consumed during combustion and respiration. Highly concentrated sources of oxygen promote rapid combustion. Fire and explosion hazards exist when concentrated oxidants and fuels are brought into close proximity; an ignition event, such as heat or a spark, is needed to trigger combustion. Oxygen is the oxidant, not the fuel, but nevertheless the source of most of the chemical energy released in combustion. Combustion hazards also apply to compounds of oxygen with a high oxidative potential, such as peroxides, chlorates, nitrates, perchlorates, and dichromates because they can donate oxygen to a fire. ###Question: Oxygen is released in cellular respiration by? ###Answer: {'answer':'photosynthesis'}
###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: When was the Augsburg Confession signed? ###Answer: {'answer':'1530'}
###Answer the question from the input provided. Please answer from input only. ###Input: Imperialism and colonialism both dictate the political and economic advantage over a land and the indigenous populations they control, yet scholars sometimes find it difficult to illustrate the difference between the two. Although imperialism and colonialism focus on the suppression of an other, if colonialism refers to the process of a country taking physical control of another, imperialism refers to the political and monetary dominance, either formally or informally. Colonialism is seen to be the architect deciding how to start dominating areas and then imperialism can be seen as creating the idea behind conquest cooperating with colonialism. Colonialism is when the imperial nation begins a conquest over an area and then eventually is able to rule over the areas the previous nation had controlled. Colonialism's core meaning is the exploitation of the valuable assets and supplies of the nation that was conquered and the conquering nation then gaining the benefits from the spoils of the war. The meaning of imperialism is to create an empire, by conquering the other state's lands and therefore increasing its own dominance. Colonialism is the builder and preserver of the colonial possessions in an area by a population coming from a foreign region. Colonialism can completely change the existing social structure, physical structure and economics of an area; it is not unusual that the characteristics of the conquering peoples are inherited by the conquered indigenous populations. A controversial aspect of imperialism is the defense and justification of empire-building based on seemingly rational grounds. J. A. Hobson identifies this justification on general grounds as: "It is desirable that the earth should be peopled, governed, and developed, as far as possible, by the races which can do this work best, i.e. by the races of highest 'social efficiency'". Many others argued that imperialism is justified for several different reasons. Friedrich Ratzel believed that in order for a state to survive, imperialism was needed. Halford Mackinder felt that Great Britain needed to be one of the greatest imperialists and therefore justified imperialism. The purportedly scientific nature of "Social Darwinism" and a theory of races formed a supposedly rational justification for imperialism. The rhetoric of colonizers being racially superior appears to have achieved its purpose, for example throughout Latin America "whiteness" is still prized today and various forms of blanqueamiento (whitening) are common. The Royal Geographical Society of London and other geographical societies in Europe had great influence and were able to fund travelers who would come back with tales of their discoveries. These societies also served as a space for travellers to share these stories.Political geographers such as Friedrich Ratzel of Germany and Halford Mackinder of Britain also supported imperialism. Ratzel believed expansion was necessary for a state’s survival while Mackinder supported Britain’s imperial expansion; these two arguments dominated the discipline for decades. Geographical theories such as environmental determinism also suggested that tropical environments created uncivilized people in need of European guidance. For instance, American geographer Ellen Churchill Semple argued that even though human beings originated in the tropics they were only able to become fully human in the temperate zone. Tropicality can be paralleled with Edward Said’s Orientalism as the west’s construction of the east as the “other”. According to Siad, orientalism allowed Europe to establish itself as the superior and the norm, which justified its dominance over the essentialized Orient. The principles of imperialism are often generalizable to the policies and practices of the British Empire "during the last generation, and proceeds rather by diagnosis than by historical description". British imperialism often used the concept of Terra nullius (Latin expression which stems from Roman law meaning 'empty land'). The country of Australia serves as a case study in relation to British settlement and colonial rule of the continent in the eighteenth century, as it was premised on terra nullius, and its settlers considered it unused by its sparse Aboriginal inhabitants. ###Question: Political advantage is an attribute of which state policies? ###Answer: {'answer':'Imperialism and colonialism'}
###Answer the question from the input provided. Please answer from input only. ###Input: There is also a growing number of new forms of procurement that involve relationship contracting where the emphasis is on a co-operative relationship between the principal and contractor and other stakeholders within a construction project. New forms include partnering such as Public-Private Partnering (PPPs) aka private finance initiatives (PFIs) and alliances such as "pure" or "project" alliances and "impure" or "strategic" alliances. The focus on co-operation is to ameliorate the many problems that arise from the often highly competitive and adversarial practices within the construction industry. This is the most common method of construction procurement and is well established and recognized. In this arrangement, the architect or engineer acts as the project coordinator. His or her role is to design the works, prepare the specifications and produce construction drawings, administer the contract, tender the works, and manage the works from inception to completion. There are direct contractual links between the architect's client and the main contractor. Any subcontractor has a direct contractual relationship with the main contractor. The procedure continues until the building is ready to occupy. The owner produces a list of requirements for a project, giving an overall view of the project's goals. Several D&B contractors present different ideas about how to accomplish these goals. The owner selects the ideas he or she likes best and hires the appropriate contractor. Often, it is not just one contractor, but a consortium of several contractors working together. Once these have been hired, they begin building the first phase of the project. As they build phase 1, they design phase 2. This is in contrast to a design-bid-build contract, where the project is completely designed by the owner, then bid on, then completed. Before the foundation can be dug, contractors are typically required to verify and have existing utility lines marked, either by the utilities themselves or through a company specializing in such services. This lessens the likelihood of damage to the existing electrical, water, sewage, phone, and cable facilities, which could cause outages and potentially hazardous situations. During the construction of a building, the municipal building inspector inspects the building periodically to ensure that the construction adheres to the approved plans and the local building code. Once construction is complete and a final inspection has been passed, an occupancy permit may be issued. In the United States, the industry in 2014 has around $960 billion in annual revenue according to statistics tracked by the Census Bureau, of which $680 billion is private (split evenly between residential and nonresidential) and the remainder is government. As of 2005, there were about 667,000 firms employing 1 million contractors (200,000 general contractors, 38,000 heavy, and 432,000 specialty); the average contractor employed fewer than 10 employees. As a whole, the industry employed an estimated 5.8 million as of April 2013, with a 13.2% unemployment rate. In the United States, approximately 828,000 women were employed in the construction industry as of 2011. ###Question: What is the annual construction industry revenue in 2014? ###Answer: {'answer':'$960 billion'}
###Answer the question from the input provided. Please answer from input only. ###Input: This is true throughout most of the United States as well. However, alternative approaches for primary education do exist. One of these, sometimes referred to as a "platoon" system, involves placing a group of students together in one class that moves from one specialist to another for every subject. The advantage here is that students learn from teachers who specialize in one subject and who tend to be more knowledgeable in that one area than a teacher who teaches many subjects. Students still derive a strong sense of security by staying with the same group of peers for all classes. Co-teaching has also become a new trend amongst educational institutions. Co-teaching is defined as two or more teachers working harmoniously to fulfill the needs of every student in the classroom. Co-teaching focuses the student on learning by providing a social networking support that allows them to reach their full cognitive potential. Co-teachers work in sync with one another to create a climate of learning. Throughout the history of education the most common form of school discipline was corporal punishment. While a child was in school, a teacher was expected to act as a substitute parent, with all the normal forms of parental discipline open to them. In past times, corporal punishment (spanking or paddling or caning or strapping or birching the student in order to cause physical pain) was one of the most common forms of school discipline throughout much of the world. Most Western countries, and some others, have now banned it, but it remains lawful in the United States following a US Supreme Court decision in 1977 which held that paddling did not violate the US Constitution. 30 US states have banned corporal punishment, the others (mostly in the South) have not. It is still used to a significant (though declining) degree in some public schools in Alabama, Arkansas, Georgia, Louisiana, Mississippi, Oklahoma, Tennessee and Texas. Private schools in these and most other states may also use it. Corporal punishment in American schools is administered to the seat of the student's trousers or skirt with a specially made wooden paddle. This often used to take place in the classroom or hallway, but nowadays the punishment is usually given privately in the principal's office. ###Question: What was the usual type of school discipline? ###Answer: {'answer':'corporal punishment'}
###Answer the question from the input provided. Please answer from input only. ###Input: The embargo had a negative influence on the US economy by causing immediate demands to address the threats to U.S. energy security. On an international level, the price increases changed competitive positions in many industries, such as automobiles. Macroeconomic problems consisted of both inflationary and deflationary impacts. The embargo left oil companies searching for new ways to increase oil supplies, even in rugged terrain such as the Arctic. Finding oil and developing new fields usually required five to ten years before significant production. The embargo was not uniform across Europe. Of the nine members of the European Economic Community (EEC), the Netherlands faced a complete embargo, the UK and France received almost uninterrupted supplies (having refused to allow America to use their airfields and embargoed arms and supplies to both the Arabs and the Israelis), while the other six faced partial cutbacks. The UK had traditionally been an ally of Israel, and Harold Wilson's government supported the Israelis during the Six-Day War. His successor, Ted Heath, reversed this policy in 1970, calling for Israel to withdraw to its pre-1967 borders. Despite being relatively unaffected by the embargo, the UK nonetheless faced an oil crisis of its own - a series of strikes by coal miners and railroad workers over the winter of 1973–74 became a major factor in the change of government. Heath asked the British to heat only one room in their houses over the winter. The UK, Germany, Italy, Switzerland and Norway banned flying, driving and boating on Sundays. Sweden rationed gasoline and heating oil. The Netherlands imposed prison sentences for those who used more than their ration of electricity. Price controls exacerbated the crisis in the US. The system limited the price of "old oil" (that which had already been discovered) while allowing newly discovered oil to be sold at a higher price to encourage investment. Predictably, old oil was withdrawn from the market, creating greater scarcity. The rule also discouraged development of alternative energies. The rule had been intended to promote oil exploration. Scarcity was addressed by rationing (as in many countries). Motorists faced long lines at gas stations beginning in summer 1972 and increasing by summer 1973. In 1973, Nixon named William E. Simon as the first Administrator of the Federal Energy Office, a short-term organization created to coordinate the response to the embargo. Simon allocated states the same amount of domestic oil for 1974 that each had consumed in 1972, which worked for states whose populations were not increasing. In other states, lines at gasoline stations were common. The American Automobile Association reported that in the last week of February 1974, 20% of American gasoline stations had no fuel. ###Question: Which country faced a complete embargo in the EEC? ###Answer: {'answer':'Netherlands'}
###Answer the question from the input provided. Please answer from input only. ###Input: Since all modern ctenophores except the beroids have cydippid-like larvae, it has widely been assumed that their last common ancestor also resembled cydippids, having an egg-shaped body and a pair of retractable tentacles. Richard Harbison's purely morphological analysis in 1985 concluded that the cydippids are not monophyletic, in other words do not contain all and only the descendants of a single common ancestor that was itself a cydippid. Instead he found that various cydippid families were more similar to members of other ctenophore orders than to other cydippids. He also suggested that the last common ancestor of modern ctenophores was either cydippid-like or beroid-like. A molecular phylogeny analysis in 2001, using 26 species, including 4 recently discovered ones, confirmed that the cydippids are not monophyletic and concluded that the last common ancestor of modern ctenophores was cydippid-like. It also found that the genetic differences between these species were very small – so small that the relationships between the Lobata, Cestida and Thalassocalycida remained uncertain. This suggests that the last common ancestor of modern ctenophores was relatively recent, and perhaps was lucky enough to survive the Cretaceous–Paleogene extinction event 65.5 million years ago while other lineages perished. When the analysis was broadened to include representatives of other phyla, it concluded that cnidarians are probably more closely related to bilaterians than either group is to ctenophores but that this diagnosis is uncertain. Fresno (/ˈfrɛznoʊ/ FREZ-noh), the county seat of Fresno County, is a city in the U.S. state of California. As of 2015, the city's population was 520,159, making it the fifth-largest city in California, the largest inland city in California and the 34th-largest in the nation. Fresno is in the center of the San Joaquin Valley and is the largest city in the Central Valley, which contains the San Joaquin Valley. It is approximately 220 miles (350 km) northwest of Los Angeles, 170 miles (270 km) south of the state capital, Sacramento, or 185 miles (300 km) south of San Francisco. The name Fresno means "ash tree" in Spanish, and an ash leaf is featured on the city's flag. In 1872, the Central Pacific Railroad established a station near Easterby's—by now a hugely productive wheat farm—for its new Southern Pacific line. Soon there was a store around the station and the store grew the town of Fresno Station, later called Fresno. Many Millerton residents, drawn by the convenience of the railroad and worried about flooding, moved to the new community. Fresno became an incorporated city in 1885. By 1931 the Fresno Traction Company operated 47 streetcars over 49 miles of track. Before World War II, Fresno had many ethnic neighborhoods, including Little Armenia, German Town, Little Italy, and Chinatown. In 1940, the Census Bureau reported Fresno's population as 94.0% white, 3.3% black and 2.7% Asian. (Incongruously, Chinatown was primarily a Japanese neighborhood and today Japanese-American businesses still remain). During 1942, Pinedale, in what is now North Fresno, was the site of the Pinedale Assembly Center, an interim facility for the relocation of Fresno area Japanese Americans to internment camps. The Fresno Fairgrounds was also utilized as an assembly center. In September 1958, Bank of America launched a new product called BankAmericard in Fresno. After a troubled gestation during which its creator resigned, BankAmericard went on to become the first successful credit card; that is, a financial instrument that was usable across a large number of merchants and also allowed cardholders to revolve a balance (earlier financial products could do one or the other but not both). In 1976, BankAmericard was renamed and spun off into a separate company known today as Visa Inc. ###Question: Which city is the fifth-largest city in California? ###Answer: {'answer':'Fresno'}
###Answer the question from the input provided. Please answer from input only. ###Input: Although the European Union does not have a codified constitution, like every political body it has laws which "constitute" its basic governance structure. The EU's primary constitutional sources are the Treaty on European Union (TEU) and the Treaty on the Functioning of the European Union (TFEU), which have been agreed or adhered to among the governments of all 28 member states. The Treaties establish the EU's institutions, list their powers and responsibilities, and explain the areas in which the EU can legislate with Directives or Regulations. The European Commission has the initiative to propose legislation. During the ordinary legislative procedure, the Council (which are ministers from member state governments) and the European Parliament (elected by citizens) can make amendments and must give their consent for laws to pass. The Commission oversees departments and various agencies that execute or enforce EU law. The "European Council" (rather than the Council, made up of different government Ministers) is composed of the Prime Ministers or executive Presidents of the member states. It appoints the Commissioners and the board of the European Central Bank. The European Court of Justice is the supreme judicial body which interprets EU law, and develops it through precedent. The Court can review the legality of the EU institutions' actions, in compliance with the Treaties. It can also decide upon claims for breach of EU laws from member states and citizens. The primary law of the EU consists mainly of the founding treaties, the "core" treaties being the Treaty on European Union (TEU) and the Treaty on the Functioning of the European Union (TFEU). The Treaties contain formal and substantive provisions, which frame policies of the European Union institutions and determine the division of competences between the European Union and its member states. The TEU establishes that European Union law applies to the metropolitan territories of the member states, as well as certain islands and overseas territories, including Madeira, the Canary Islands and the French overseas departments. European Union law also applies in territories where a member state is responsible for external relations, for example Gibraltar and the Åland islands. The TEU allows the European Council to make specific provisions for regions, as for example done for customs matters in Gibraltar and Saint-Pierre-et-Miquelon. The TEU specifically excludes certain regions, for example the Faroe Islands, from the jurisdiction of European Union law. Treaties apply as soon as they enter into force, unless stated otherwise, and are generally concluded for an unlimited period. The TEU provides that commitments entered into by the member states between themselves before the treaty was signed no longer apply.[vague] All EU member states are regarded as subject to the general obligation of the principle of cooperation, as stated in the TEU, whereby member states are obliged not to take measure which could jeopardise the attainment of the TEU objectives. The Court of Justice of the European Union can interpret the Treaties, but it cannot rule on their validity, which is subject to international law. Individuals may rely on primary law in the Court of Justice of the European Union if the Treaty provisions have a direct effect and they are sufficiently clear, precise and unconditional. The principal Treaties that form the European Union began with common rules for coal and steel, and then atomic energy, but more complete and formal institutions were established through the Treaty of Rome 1957 and the Maastricht Treaty 1992 (now: TFEU). Minor amendments were made during the 1960s and 1970s. Major amending treaties were signed to complete the development of a single, internal market in the Single European Act 1986, to further the development of a more social Europe in the Treaty of Amsterdam 1997, and to make minor amendments to the relative power of member states in the EU institutions in the Treaty of Nice 2001 and the Treaty of Lisbon 2007. Since its establishment, more member states have joined through a series of accession treaties, from the UK, Ireland, Denmark and Norway in 1972 (though Norway did not end up joining), Greece in 1979, Spain and Portugal 1985, Austria, Finland, Norway and Sweden in 1994 (though again Norway failed to join, because of lack of support in the referendum), the Czech Republic, Cyprus, Estonia, Hungary, Latvia, Lithuania, Malta, Poland, Slovakia and Slovenia in 2004, Romania and Bulgaria in 2007 and Croatia in 2013. Greenland signed a Treaty in 1985 giving it a special status. Following the Nice Treaty, there was an attempt to reform the constitutional law of the European Union and make it more transparent; this would have also produced a single constitutional document. However, as a result of the referendum in France and the referendum in the Netherlands, the 2004 Treaty establishing a Constitution for Europe never came into force. Instead, the Lisbon Treaty was enacted. Its substance was very similar to the proposed constitutional treaty, but it was formally an amending treaty, and – though it significantly altered the existing treaties – it did not completely replace them. The European Commission is the main executive body of the European Union. Article 17(1) of the Treaty on European Union states the Commission should "promote the general interest of the Union" while Article 17(3) adds that Commissioners should be "completely independent" and not "take instructions from any Government". Under article 17(2), "Union legislative acts may only be adopted on the basis of a Commission proposal, except where the Treaties provide otherwise." This means that the Commission has a monopoly on initiating the legislative procedure, although the Council is the "de facto catalyst of many legislative initiatives". The Parliament can also formally request the Commission to submit a legislative proposal but the Commission can reject such a suggestion, giving reasons. The Commission's President (currently an ex-Luxembourg Prime Minister, Jean-Claude Juncker) sets the agenda for the EU's work. Decisions are taken by a simple majority vote, usually through a "written procedure" of circulating the proposals and adopting if there are no objections.[citation needed] Since Ireland refused to consent to changes in the Treaty of Lisbon 2007, there remains one Commissioner for each of the 28 member states, including the President and the High Representative for Foreign and Security Policy (currently Federica Mogherini). The Commissioners (and most importantly, the portfolios they will hold) are bargained over intensively by the member states. The Commissioners, as a block, are then subject to a qualified majority vote of the Council to approve, and majority approval of the Parliament. The proposal to make the Commissioners be drawn from the elected Parliament, was not adopted in the Treaty of Lisbon. This means Commissioners are, through the appointment process, the unelected subordinates of member state governments. ###Question: When was there an attempt to reform the law of the EU? ###Answer: {'answer':'Following the Nice Treaty'}
###Answer the question from the input provided. Please answer from input only. ###Input: The University of Chicago was created and incorporated as a coeducational, secular institution in 1890 by the American Baptist Education Society and a donation from oil magnate and philanthropist John D. Rockefeller on land donated by Marshall Field. While the Rockefeller donation provided money for academic operations and long-term endowment, it was stipulated that such money could not be used for buildings. The original physical campus was financed by donations from wealthy Chicagoans like Silas B. Cobb who provided the funds for the campus' first building, Cobb Lecture Hall, and matched Marshall Field's pledge of $100,000. Other early benefactors included businessmen Charles L. Hutchinson (trustee, treasurer and donor of Hutchinson Commons), Martin A. Ryerson (president of the board of trustees and donor of the Ryerson Physical Laboratory) Adolphus Clay Bartlett and Leon Mandel, who funded the construction of the gymnasium and assembly hall, and George C. Walker of the Walker Museum, a relative of Cobb who encouraged his inaugural donation for facilities. In the 1890s, the University of Chicago, fearful that its vast resources would injure smaller schools by drawing away good students, affiliated with several regional colleges and universities: Des Moines College, Kalamazoo College, Butler University, and Stetson University. In 1896, the university affiliated with Shimer College in Mount Carroll, Illinois. Under the terms of the affiliation, the schools were required to have courses of study comparable to those at the university, to notify the university early of any contemplated faculty appointments or dismissals, to make no faculty appointment without the university's approval, and to send copies of examinations for suggestions. The University of Chicago agreed to confer a degree on any graduating senior from an affiliated school who made a grade of A for all four years, and on any other graduate who took twelve weeks additional study at the University of Chicago. A student or faculty member of an affiliated school was entitled to free tuition at the University of Chicago, and Chicago students were eligible to attend an affiliated school on the same terms and receive credit for their work. The University of Chicago also agreed to provide affiliated schools with books and scientific apparatus and supplies at cost; special instructors and lecturers without cost except travel expenses; and a copy of every book and journal published by the University of Chicago Press at no cost. The agreement provided that either party could terminate the affiliation on proper notice. Several University of Chicago professors disliked the program, as it involved uncompensated additional labor on their part, and they believed it cheapened the academic reputation of the university. The program passed into history by 1910. In 1929, the university's fifth president, Robert Maynard Hutchins, took office; the university underwent many changes during his 24-year tenure. Hutchins eliminated varsity football from the university in an attempt to emphasize academics over athletics, instituted the undergraduate college's liberal-arts curriculum known as the Common Core, and organized the university's graduate work into its current[when?] four divisions. In 1933, Hutchins proposed an unsuccessful plan to merge the University of Chicago and Northwestern University into a single university. During his term, the University of Chicago Hospitals (now called the University of Chicago Medical Center) finished construction and enrolled its first medical students. Also, the Committee on Social Thought, an institution distinctive of the university, was created. In the early 1950s, student applications declined as a result of increasing crime and poverty in the Hyde Park neighborhood. In response, the university became a major sponsor of a controversial urban renewal project for Hyde Park, which profoundly affected both the neighborhood's architecture and street plan. During this period the university, like Shimer College and 10 others, adopted an early entrant program that allowed very young students to attend college; in addition, students enrolled at Shimer were enabled to transfer automatically to the University of Chicago after their second year, having taken comparable or identical examinations and courses. The university experienced its share of student unrest during the 1960s, beginning in 1962, when students occupied President George Beadle's office in a protest over the university's off-campus rental policies. After continued turmoil, a university committee in 1967 issued what became known as the Kalven Report. The report, a two-page statement of the university's policy in "social and political action," declared that "To perform its mission in the society, a university must sustain an extraordinary environment of freedom of inquiry and maintain an independence from political fashions, passions, and pressures." The report has since been used to justify decisions such as the university's refusal to divest from South Africa in the 1980s and Darfur in the late 2000s. ###Question: In what year did the university first see a drop in applications? ###Answer: {'answer':'1950s'}
###Answer the question from the input provided. Please answer from input only. ###Input: To classify the computation time (or similar resources, such as space consumption), one is interested in proving upper and lower bounds on the minimum amount of time required by the most efficient algorithm solving a given problem. The complexity of an algorithm is usually taken to be its worst-case complexity, unless specified otherwise. Analyzing a particular algorithm falls under the field of analysis of algorithms. To show an upper bound T(n) on the time complexity of a problem, one needs to show only that there is a particular algorithm with running time at most T(n). However, proving lower bounds is much more difficult, since lower bounds make a statement about all possible algorithms that solve a given problem. The phrase "all possible algorithms" includes not just the algorithms known today, but any algorithm that might be discovered in the future. To show a lower bound of T(n) for a problem requires showing that no algorithm can have time complexity lower than T(n). Upper and lower bounds are usually stated using the big O notation, which hides constant factors and smaller terms. This makes the bounds independent of the specific details of the computational model used. For instance, if T(n) = 7n2 + 15n + 40, in big O notation one would write T(n) = O(n2). Of course, some complexity classes have complicated definitions that do not fit into this framework. Thus, a typical complexity class has a definition like the following: But bounding the computation time above by some concrete function f(n) often yields complexity classes that depend on the chosen machine model. For instance, the language {xx | x is any binary string} can be solved in linear time on a multi-tape Turing machine, but necessarily requires quadratic time in the model of single-tape Turing machines. If we allow polynomial variations in running time, Cobham-Edmonds thesis states that "the time complexities in any two reasonable and general models of computation are polynomially related" (Goldreich 2008, Chapter 1.2). This forms the basis for the complexity class P, which is the set of decision problems solvable by a deterministic Turing machine within polynomial time. The corresponding set of function problems is FP. Many important complexity classes can be defined by bounding the time or space used by the algorithm. Some important complexity classes of decision problems defined in this manner are the following: ###Question: Concrete bounding of computation time frequently produces complexity classes contingent upon what? ###Answer: {'answer':'chosen machine model'}
###Answer the question from the input provided. Please answer from input only. ###Input: In the laboratory, biostratigraphers analyze rock samples from outcrop and drill cores for the fossils found in them. These fossils help scientists to date the core and to understand the depositional environment in which the rock units formed. Geochronologists precisely date rocks within the stratigraphic section in order to provide better absolute bounds on the timing and rates of deposition. Magnetic stratigraphers look for signs of magnetic reversals in igneous rock units within the drill cores. Other scientists perform stable isotope studies on the rocks to gain information about past climate. Some modern scholars, such as Fielding H. Garrison, are of the opinion that the origin of the science of geology can be traced to Persia after the Muslim conquests had come to an end. Abu al-Rayhan al-Biruni (973–1048 CE) was one of the earliest Persian geologists, whose works included the earliest writings on the geology of India, hypothesizing that the Indian subcontinent was once a sea. Drawing from Greek and Indian scientific literature that were not destroyed by the Muslim conquests, the Persian scholar Ibn Sina (Avicenna, 981–1037) proposed detailed explanations for the formation of mountains, the origin of earthquakes, and other topics central to modern geology, which provided an essential foundation for the later development of the science. In China, the polymath Shen Kuo (1031–1095) formulated a hypothesis for the process of land formation: based on his observation of fossil animal shells in a geological stratum in a mountain hundreds of miles from the ocean, he inferred that the land was formed by erosion of the mountains and by deposition of silt. James Hutton is often viewed as the first modern geologist. In 1785 he presented a paper entitled Theory of the Earth to the Royal Society of Edinburgh. In his paper, he explained his theory that the Earth must be much older than had previously been supposed in order to allow enough time for mountains to be eroded and for sediments to form new rocks at the bottom of the sea, which in turn were raised up to become dry land. Hutton published a two-volume version of his ideas in 1795 (Vol. 1, Vol. 2). The first geological map of the U.S. was produced in 1809 by William Maclure. In 1807, Maclure commenced the self-imposed task of making a geological survey of the United States. Almost every state in the Union was traversed and mapped by him, the Allegheny Mountains being crossed and recrossed some 50 times. The results of his unaided labours were submitted to the American Philosophical Society in a memoir entitled Observations on the Geology of the United States explanatory of a Geological Map, and published in the Society's Transactions, together with the nation's first geological map. This antedates William Smith's geological map of England by six years, although it was constructed using a different classification of rocks. Sir Charles Lyell first published his famous book, Principles of Geology, in 1830. This book, which influenced the thought of Charles Darwin, successfully promoted the doctrine of uniformitarianism. This theory states that slow geological processes have occurred throughout the Earth's history and are still occurring today. In contrast, catastrophism is the theory that Earth's features formed in single, catastrophic events and remained unchanged thereafter. Though Hutton believed in uniformitarianism, the idea was not widely accepted at the time. ###Question: First published by Sir Charles Lyell in 1830 this book was called what? ###Answer: {'answer':'Principles of Geology'}
###Answer the question from the input provided. Please answer from input only. ###Input: The Yuan dynasty was the first time that non-native Chinese people ruled all of China. In the historiography of Mongolia, it is generally considered to be the continuation of the Mongol Empire. Mongols are widely known to worship the Eternal Heaven, and according to the traditional Mongolian ideology Yuan is considered to be "the beginning of an infinite number of beings, the foundation of peace and happiness, state power, the dream of many peoples, besides it there is nothing great or precious." In traditional historiography of China, on the other hand, the Yuan dynasty is usually considered to be the legitimate dynasty between the Song dynasty and the Ming dynasty. Note, however, Yuan dynasty is traditionally often extended to cover the Mongol Empire before Kublai Khan's formal establishment of the Yuan in 1271, partly because Kublai had his grandfather Genghis Khan placed on the official record as the founder of the dynasty or Taizu (Chinese: 太祖). Despite the traditional historiography as well as the official views (including the government of the Ming dynasty which overthrew the Yuan dynasty), there also exist Chinese people[who?] who did not consider the Yuan dynasty as a legitimate dynasty of China, but rather as a period of foreign domination. The latter believe that Han Chinese were treated as second-class citizens,[citation needed] and that China stagnated economically and scientifically. The system of bureaucracy created by Kublai Khan reflected various cultures in the empire, including that of the Han Chinese, Khitans, Jurchens, Mongols, and Tibetan Buddhists. While the official terminology of the institutions may indicate the government structure was almost purely that of native Chinese dynasties, the Yuan bureaucracy actually consisted of a mix of elements from different cultures. The Chinese-style elements of the bureaucracy mainly came from the native Tang, Song, as well as Khitan Liao and Jurchen Jin dynasties. Chinese advisers such as Liu Bingzhong and Yao Shu gave strong influence to Kublai's early court, and the central government administration was established within the first decade of Kublai's reign. This government adopted the traditional Chinese tripartite division of authority among civil, military, and censorial offices, including the Central Secretariat (Zhongshu Sheng) to manage civil affairs, the Privy Council (Chinese: 樞密院) to manage military affairs, and the Censorate to conduct internal surveillance and inspection. The actual functions of both central and local government institutions, however, showed a major overlap between the civil and military jurisdictions, due to the Mongol traditional reliance on military institutions and offices as the core of governance. Nevertheless, such a civilian bureaucracy, with the Central Secretariat as the top institution that was (directly or indirectly) responsible for most other governmental agencies (such as the traditional Chinese-style Six Ministries), was created in China. At various times another central government institution called the Department of State Affairs (Shangshu Sheng) that mainly dealt with finance was established (such as during the reign of Külüg Khan or Emperor Wuzong), but was usually abandoned shortly afterwards. While the existence of these central government departments and the Six Ministries (which had been introduced since the Sui and Tang dynasties) gave a Sinicized image in the Yuan administration, the actual functions of these ministries also reflected how Mongolian priorities and policies reshaped and redirected those institutions. For example, the authority of the Yuan legal system, the Ministry of Justice, did not extend to legal cases involving Mongols and Semuren, who had separate courts of justice. Cases involving members of more than one ethnic group were decided by a mixed board consisting of Chinese and Mongols. Another example was the insignificance of the Ministry of War compared with native Chinese dynasties, as the real military authority in Yuan times resided in the Privy Council. Since its invention in 1269, the 'Phags-pa script, a unified script for spelling Mongolian, Tibetan, and Chinese languages, was preserved in the court until the end of the dynasty. Most of the Emperors could not master written Chinese, but they could generally converse well in the language. The Mongol custom of long standing quda/marriage alliance with Mongol clans, the Onggirat, and the Ikeres, kept the imperial blood purely Mongol until the reign of Tugh Temur, whose mother was a Tangut concubine. The Mongol Emperors had built large palaces and pavilions, but some still continued to live as nomads at times. Nevertheless, a few other Yuan emperors actively sponsored cultural activities; an example is Tugh Temur (Emperor Wenzong), who wrote poetry, painted, read Chinese classical texts, and ordered the compilation of books. The average Mongol garrison family of the Yuan dynasty seems to have lived a life of decaying rural leisure, with income from the harvests of their Chinese tenants eaten up by costs of equipping and dispatching men for their tours of duty. The Mongols practiced debt slavery, and by 1290 in all parts of the Mongol Empire commoners were selling their children into slavery. Seeing this as damaging to the Mongol nation, Kublai in 1291 forbade the sale abroad of Mongols. Kublai wished to persuade the Chinese that he was becoming increasingly sinicized while maintaining his Mongolian credentials with his own people. He set up a civilian administration to rule, built a capital within China, supported Chinese religions and culture, and devised suitable economic and political institutions for the court. But at the same time he never abandoned his Mongolian heritage. ###Question: By what year was selling children into slavery common among the Mongols? ###Answer: {'answer':'1290'}
###Answer the question from the input provided. Please answer from input only. ###Input: Another green space in Newcastle is the Town Moor, lying immediately north of the city centre. It is larger than London's famous Hyde Park and Hampstead Heath put together and the freemen of the city have the right to graze cattle on it. The right incidentally extends to the pitch of St. James' Park, Newcastle United Football Club's ground, though this is not exercised, although the Freemen do collect rent for the loss of privilege. Honorary freemen include Bob Geldof, King Harald V of Norway, Bobby Robson, Alan Shearer, the late Nelson Mandela and the Royal Shakespeare Company. The Hoppings funfair, said to be the largest travelling funfair in Europe, is held here annually in June. Large-scale regeneration has replaced former shipping premises with imposing new office developments; an innovative tilting bridge, the Gateshead Millennium Bridge was commissioned by Gateshead Council and has integrated the older Newcastle Quayside more closely with major cultural developments in Gateshead, including the BALTIC Centre for Contemporary Art, the venue for the Turner Prize 2011 and the Norman Foster-designed The Sage Gateshead music centre. The Newcastle and Gateshead Quaysides are now a thriving, cosmopolitan area with bars, restaurants and public spaces. As a tourist promotion, Newcastle and Gateshead have linked together under the banner "NewcastleGateshead", to spearhead the regeneration of the North-East. The River Tyne had the temporary Bambuco Bridge in 2008 for ten days; it was not made for walking, road or cycling, but was just a sculpture. The historic heart of Newcastle is the Grainger Town area. Established on classical streets built by Richard Grainger, a builder and developer, between 1835 and 1842, some of Newcastle upon Tyne's finest buildings and streets lie within this area of the city centre including Grainger Market, Theatre Royal, Grey Street, Grainger Street and Clayton Street. These buildings are predominantly four stories high, with vertical dormers, domes, turrets and spikes. Richard Grainger was said to 'have found Newcastle of bricks and timber and left it in stone'. Of Grainger Town's 450 buildings, 244 are listed, of which 29 are grade I and 49 are grade II*. The Grainger Market replaced an earlier market originally built in 1808 called the Butcher Market. The Grainger Market itself, was opened in 1835 and was Newcastle's first indoor market. At the time of its opening in 1835 it was said to be one of the largest and most beautiful markets in Europe. The opening was celebrated with a grand dinner attended by 2000 guests, and the Laing Art Gallery has a painting of this event. With the exception of the timber roof which was destroyed by a fire in 1901 and replaced by latticed-steel arches the Market is largely in its original condition. The Grainger Market architecture, like most in Grainger Town, which are either grade I or II listed, was listed grade I in 1954 by English Heritage. The climate in Newcastle is oceanic (Köppen Cfb) and significantly milder than some other locations in the world at a similar latitude, due to the warming influence of the Gulf Stream (via the North Atlantic Drift). Being in the rain shadow of the North Pennines, it is among the driest cities in the UK. Temperature extremes recorded at Newcastle Weather Centre include 32.5 °C (90.5 °F) during August 1990 down to −12.6 °C (9.3 °F) during January 1982. In contrast to other areas influenced by the Gulf Stream, such as inland Scandinavia, Newcastle has milder winters and cooler summers, similar to the remainder of the British Isles. ###Question: What's the name of the green space north of the center of Newcastle? ###Answer: {'answer':'Town Moor'}
###Answer the question from the input provided. Please answer from input only. ###Input: Tesla obtained around 300 patents worldwide for his inventions. Some of Tesla's patents are not accounted for, and various sources have discovered some that have lain hidden in patent archives. There are a minimum of 278 patents issued to Tesla in 26 countries that have been accounted for. Many of Tesla's patents were in the United States, Britain, and Canada, but many other patents were approved in countries around the globe.:62 Many inventions developed by Tesla were not put into patent protection. Tesla worked every day from 9:00 a.m. until 6:00 p.m. or later, with dinner from exactly 8:10 p.m., at Delmonico's restaurant and later the Waldorf-Astoria Hotel. Tesla would telephone his dinner order to the headwaiter, who also could be the only one to serve him. "The meal was required to be ready at eight o'clock ... He dined alone, except on the rare occasions when he would give a dinner to a group to meet his social obligations. Tesla would then resume his work, often until 3:00 a.m.":283, 286 For exercise, Tesla walked between 8 to 10 miles per day. He squished his toes one hundred times for each foot every night, saying that it stimulated his brain cells. In an interview with newspaper editor Arthur Brisbane, Tesla said that he did not believe in telepathy, stating, "Suppose I made up my mind to murder you," he said, "In a second you would know it. Now, isn't that wonderful? By what process does the mind get at all this?" In the same interview, Tesla said that he believed that all fundamental laws could be reduced to one. Near the end of his life, Tesla walked to the park every day to feed the pigeons and even brought injured ones into his hotel room to nurse back to health. He said that he had been visited by a specific injured white pigeon daily. Tesla spent over $2,000, including building a device that comfortably supported her so her bones could heal, to fix her broken wing and leg. Tesla stated, ###Question: At what time did Tesla get dinner? ###Answer: {'answer':'8:10 p.m'}
###Answer the question from the input provided. Please answer from input only. ###Input: The "West Side" of Fresno, also often called "Southwest Fresno", is one of the oldest neighborhoods in the city. The neighborhood lies southwest of the 99 freeway (which divides it from Downtown Fresno), west of the 41 freeway and south of Nielsen Ave (or the newly constructed 180 Freeway), and extends to the city limits to the west and south. The neighborhood is traditionally considered to be the center of Fresno's African-American community. It is culturally diverse and also includes significant Mexican-American and Asian-American (principally Hmong or Laotian) populations. The neighborhood includes Kearney Boulevard, named after early 20th century entrepreneur and millionaire M. Theo Kearney, which extends from Fresno Street in Southwest Fresno about 20 mi (32 km) west to Kerman, California. A small, two-lane rural road for most of its length, Kearney Boulevard is lined with tall palm trees. The roughly half-mile stretch of Kearney Boulevard between Fresno Street and Thorne Ave was at one time the preferred neighborhood for Fresno's elite African-American families. Another section, Brookhaven, on the southern edge of the West Side south of Jensen and west of Elm, was given the name by the Fresno City Council in an effort to revitalize the neighborhood's image. The isolated subdivision was for years known as the "Dogg Pound" in reference to a local gang, and as of late 2008 was still known for high levels of violent crime. While many homes in the neighborhood date back to the 1930s or before, the neighborhood is also home to several public housing developments built between the 1960s and 1990s by the Fresno Housing Authority. The US Department of Housing and Urban Development has also built small subdivisions of single-family homes in the area for purchase by low-income working families. There have been numerous attempts to revitalize the neighborhood, including the construction of a modern shopping center on the corner of Fresno and B streets, an aborted attempt to build luxury homes and a golf course on the western edge of the neighborhood, and some new section 8 apartments have been built along Church Ave west of Elm St. Cargill Meat Solutions and Foster Farms both have large processing facilities in the neighborhood, and the stench from these (and other small industrial facilities) has long plagued area residents. The Fresno Chandler Executive Airport is also on the West Side. Due to its position on the edge of the city and years of neglect by developers, is not a true "inner-city" neighborhood, and there are many vacant lots, strawberry fields and vineyards throughout the neighborhood. The neighborhood has very little retail activity, aside from the area near Fresno Street and State Route 99 Freeway (Kearney Palm Shopping Center, built in the late 1990s) and small corner markets scattered throughout. In the north eastern part of Fresno, Woodward Park was founded by the late Ralph Woodward, a long-time Fresno resident. He bequeathed a major portion of his estate in 1968 to provide a regional park and bird sanctuary in Northeast Fresno. The park lies on the South bank of the San Joaquin River between Highway 41 and Friant Road. The initial 235 acres (0.95 km2), combined with additional acres acquired later by the City, brings the park to a sizable 300 acres (1.2 km2). Now packed with amenities, Woodward Park is the only Regional Park of its size in the Central Valley. The Southeast corner of the park harbors numerous bird species offering bird enthusiasts an excellent opportunity for viewing. The park has a multi-use amphitheatre that seats up to 2,500 people, authentic Japanese Garden, fenced dog park, two-mile (3 km) equestrian trail, exercise par course, three children's playgrounds, a lake, 3 small ponds, 7 picnic areas and five miles (8 km) of multipurpose trails that are part of the San Joaquin River Parkway's Lewis S. Eaton Trail. When complete, the Lewis S. Eaton trail system will cover 22 miles (35 km) between Highway 99 and Friant Dam. The park's numerous picnic tables make for a great picnic destination and a convenient escape from city life. The park's amphetheatre was renovated in 2010, and has hosted performances by acts such as Deftones, Tech N9ne, and Sevendust as well as numerous others. The park is open April through October, 6am to 10pm and November through March, 6am to 7pm. Woodward Park is home to the annual CIF(California Interscholastic Federation) State Championship cross country meet, which takes place in late November. It is also the home of the Woodward Shakespeare Festival which began performances in the park in 2005. Formed in 1946, Sierra Sky Park Airport is a residential airport community born of a unique agreement in transportation law to allow personal aircraft and automobiles to share certain roads. Sierra Sky Park was the first aviation community to be built[citation needed] and there are now numerous such communities across the United States and around the world. Developer William Smilie created the nation's first planned aviation community. Still in operation today, the public use airport provides a unique neighborhood that spawned interest and similar communities nationwide. ###Question: What is another name for the west side of Fresno? ###Answer: {'answer':'"Southwest Fresno"'}
###Answer the question from the input provided. Please answer from input only. ###Input: Following the Cretaceous–Paleogene extinction event, the extinction of the dinosaurs and the wetter climate may have allowed the tropical rainforest to spread out across the continent. From 66–34 Mya, the rainforest extended as far south as 45°. Climate fluctuations during the last 34 million years have allowed savanna regions to expand into the tropics. During the Oligocene, for example, the rainforest spanned a relatively narrow band. It expanded again during the Middle Miocene, then retracted to a mostly inland formation at the last glacial maximum. However, the rainforest still managed to thrive during these glacial periods, allowing for the survival and evolution of a broad diversity of species. During the mid-Eocene, it is believed that the drainage basin of the Amazon was split along the middle of the continent by the Purus Arch. Water on the eastern side flowed toward the Atlantic, while to the west water flowed toward the Pacific across the Amazonas Basin. As the Andes Mountains rose, however, a large basin was created that enclosed a lake; now known as the Solimões Basin. Within the last 5–10 million years, this accumulating water broke through the Purus Arch, joining the easterly flow toward the Atlantic. There is evidence that there have been significant changes in Amazon rainforest vegetation over the last 21,000 years through the Last Glacial Maximum (LGM) and subsequent deglaciation. Analyses of sediment deposits from Amazon basin paleolakes and from the Amazon Fan indicate that rainfall in the basin during the LGM was lower than for the present, and this was almost certainly associated with reduced moist tropical vegetation cover in the basin. There is debate, however, over how extensive this reduction was. Some scientists argue that the rainforest was reduced to small, isolated refugia separated by open forest and grassland; other scientists argue that the rainforest remained largely intact but extended less far to the north, south, and east than is seen today. This debate has proved difficult to resolve because the practical limitations of working in the rainforest mean that data sampling is biased away from the center of the Amazon basin, and both explanations are reasonably well supported by the available data. NASA's CALIPSO satellite has measured the amount of dust transported by wind from the Sahara to the Amazon: an average 182 million tons of dust are windblown out of the Sahara each year, at 15 degrees west longitude, across 1,600 miles (2,600 km) over the Atlantic Ocean (some dust falls into the Atlantic), then at 35 degrees West longitude at the eastern coast of South America, 27.7 million tons (15%) of dust fall over the Amazon basin, 132 million tons of dust remain in the air, 43 million tons of dust are windblown and falls on the Caribbean Sea, past 75 degrees west longitude. For a long time, it was thought that the Amazon rainforest was only ever sparsely populated, as it was impossible to sustain a large population through agriculture given the poor soil. Archeologist Betty Meggers was a prominent proponent of this idea, as described in her book Amazonia: Man and Culture in a Counterfeit Paradise. She claimed that a population density of 0.2 inhabitants per square kilometre (0.52/sq mi) is the maximum that can be sustained in the rainforest through hunting, with agriculture needed to host a larger population. However, recent anthropological findings have suggested that the region was actually densely populated. Some 5 million people may have lived in the Amazon region in AD 1500, divided between dense coastal settlements, such as that at Marajó, and inland dwellers. By 1900 the population had fallen to 1 million and by the early 1980s it was less than 200,000. ###Question: In which point did the drainage basin of the Amazon split? ###Answer: {'answer':'During the mid-Eocene, it is believed that the drainage basin of the Amazon was split along the middle of the continent by the Purus Arch.'}
###Answer the question from the input provided. Please answer from input only. ###Input: Gamma delta T cells (γδ T cells) possess an alternative T cell receptor (TCR) as opposed to CD4+ and CD8+ (αβ) T cells and share the characteristics of helper T cells, cytotoxic T cells and NK cells. The conditions that produce responses from γδ T cells are not fully understood. Like other 'unconventional' T cell subsets bearing invariant TCRs, such as CD1d-restricted Natural Killer T cells, γδ T cells straddle the border between innate and adaptive immunity. On one hand, γδ T cells are a component of adaptive immunity as they rearrange TCR genes to produce receptor diversity and can also develop a memory phenotype. On the other hand, the various subsets are also part of the innate immune system, as restricted TCR or NK receptors may be used as pattern recognition receptors. For example, large numbers of human Vγ9/Vδ2 T cells respond within hours to common molecules produced by microbes, and highly restricted Vδ1+ T cells in epithelia respond to stressed epithelial cells. A B cell identifies pathogens when antibodies on its surface bind to a specific foreign antigen. This antigen/antibody complex is taken up by the B cell and processed by proteolysis into peptides. The B cell then displays these antigenic peptides on its surface MHC class II molecules. This combination of MHC and antigen attracts a matching helper T cell, which releases lymphokines and activates the B cell. As the activated B cell then begins to divide, its offspring (plasma cells) secrete millions of copies of the antibody that recognizes this antigen. These antibodies circulate in blood plasma and lymph, bind to pathogens expressing the antigen and mark them for destruction by complement activation or for uptake and destruction by phagocytes. Antibodies can also neutralize challenges directly, by binding to bacterial toxins or by interfering with the receptors that viruses and bacteria use to infect cells. When B cells and T cells are activated and begin to replicate, some of their offspring become long-lived memory cells. Throughout the lifetime of an animal, these memory cells remember each specific pathogen encountered and can mount a strong response if the pathogen is detected again. This is "adaptive" because it occurs during the lifetime of an individual as an adaptation to infection with that pathogen and prepares the immune system for future challenges. Immunological memory can be in the form of either passive short-term memory or active long-term memory. Newborn infants have no prior exposure to microbes and are particularly vulnerable to infection. Several layers of passive protection are provided by the mother. During pregnancy, a particular type of antibody, called IgG, is transported from mother to baby directly across the placenta, so human babies have high levels of antibodies even at birth, with the same range of antigen specificities as their mother. Breast milk or colostrum also contains antibodies that are transferred to the gut of the infant and protect against bacterial infections until the newborn can synthesize its own antibodies. This is passive immunity because the fetus does not actually make any memory cells or antibodies—it only borrows them. This passive immunity is usually short-term, lasting from a few days up to several months. In medicine, protective passive immunity can also be transferred artificially from one individual to another via antibody-rich serum. Hormones can act as immunomodulators, altering the sensitivity of the immune system. For example, female sex hormones are known immunostimulators of both adaptive and innate immune responses. Some autoimmune diseases such as lupus erythematosus strike women preferentially, and their onset often coincides with puberty. By contrast, male sex hormones such as testosterone seem to be immunosuppressive. Other hormones appear to regulate the immune system as well, most notably prolactin, growth hormone and vitamin D. ###Question: When B cells and T cells begin to replicate, what do some of their offspring cells become? ###Answer: {'answer':'long-lived memory cells'}
###Answer the question from the input provided. Please answer from input only. ###Input: Under the terms of the Scotland Act 1978, an elected assembly would be set up in Edinburgh provided that the majority of the Scottish electorate voted for it in a referendum to be held on 1 March 1979 that represented at least 40% of the total electorate. The 1979 Scottish devolution referendum to establish a devolved Scottish Assembly failed. Although the vote was 51.6% in favour of a Scottish Assembly, this figure did not equal the 40% of the total electorate threshold deemed necessary to pass the measure, as 32.9% of the eligible voting population did not, or had been unable to, vote. Throughout the 1980s and 1990s, demand for a Scottish Parliament grew, in part because the government of the United Kingdom was controlled by the Conservative Party, while Scotland itself elected relatively few Conservative MPs. In the aftermath of the 1979 referendum defeat, the Campaign for a Scottish Assembly was initiated as a pressure group, leading to the 1989 Scottish Constitutional Convention with various organisations such as Scottish churches, political parties and representatives of industry taking part. Publishing its blueprint for devolution in 1995, the Convention provided much of the basis for the structure of the Parliament. Since September 2004, the official home of the Scottish Parliament has been a new Scottish Parliament Building, in the Holyrood area of Edinburgh. The Scottish Parliament building was designed by Spanish architect Enric Miralles in partnership with local Edinburgh Architecture firm RMJM which was led by Design Principal Tony Kettle. Some of the principal features of the complex include leaf-shaped buildings, a grass-roofed branch merging into adjacent parkland and gabion walls formed from the stones of previous buildings. Throughout the building there are many repeated motifs, such as shapes based on Raeburn's Skating Minister. Crow-stepped gables and the upturned boat skylights of the Garden Lobby, complete the unique architecture. Queen Elizabeth II opened the new building on 9 October 2004. Whilst the permanent building at Holyrood was being constructed, the Parliament's temporary home was the General Assembly Hall of the Church of Scotland on the Royal Mile in Edinburgh. Official photographs and television interviews were held in the courtyard adjoining the Assembly Hall, which is part of the School of Divinity of the University of Edinburgh. This building was vacated twice to allow for the meeting of the Church's General Assembly. In May 2000, the Parliament was temporarily relocated to the former Strathclyde Regional Council debating chamber in Glasgow, and to the University of Aberdeen in May 2002. In addition to the General Assembly Hall, the Parliament also used buildings rented from the City of Edinburgh Council. The former administrative building of Lothian Regional Council on George IV Bridge was used for the MSP's offices. Following the move to Holyrood in 2004 this building was demolished. The former Midlothian County Buildings facing Parliament Square, High Street and George IV Bridge in Edinburgh (originally built as the headquarters of the pre-1975 Midlothian County Council) housed the Parliament's visitors' centre and shop, whilst the main hall was used as the Parliament's principal committee room. ###Question: Who did the Parliament rent additional buildings from? ###Answer: {'answer':'City of Edinburgh Council'}
###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: What is the largest type of misconduct being reviewed by the media? ###Answer: {'answer':'sexual misconduct'}
###Answer the question from the input provided. Please answer from input only. ###Input: Ctenophora (/tᵻˈnɒfərə/; singular ctenophore, /ˈtɛnəfɔːr/ or /ˈtiːnəfɔːr/; from the Greek κτείς kteis 'comb' and φέρω pherō 'carry'; commonly known as comb jellies) is a phylum of animals that live in marine waters worldwide. Their most distinctive feature is the ‘combs’ – groups of cilia which they use for swimming – they are the largest animals that swim by means of cilia. Adults of various species range from a few millimeters to 1.5 m (4 ft 11 in) in size. Like cnidarians, their bodies consist of a mass of jelly, with one layer of cells on the outside and another lining the internal cavity. In ctenophores, these layers are two cells deep, while those in cnidarians are only one cell deep. Some authors combined ctenophores and cnidarians in one phylum, Coelenterata, as both groups rely on water flow through the body cavity for both digestion and respiration. Increasing awareness of the differences persuaded more recent authors to classify them as separate phyla. Almost all ctenophores are predators, taking prey ranging from microscopic larvae and rotifers to the adults of small crustaceans; the exceptions are juveniles of two species, which live as parasites on the salps on which adults of their species feed. In favorable circumstances, ctenophores can eat ten times their own weight in a day. Only 100–150 species have been validated, and possibly another 25 have not been fully described and named. The textbook examples are cydippids with egg-shaped bodies and a pair of retractable tentacles fringed with tentilla ("little tentacles") that are covered with colloblasts, sticky cells that capture prey. The phylum has a wide range of body forms, including the flattened, deep-sea platyctenids, in which the adults of most species lack combs, and the coastal beroids, which lack tentacles and prey on other ctenophores by using huge mouths armed with groups of large, stiffened cilia that act as teeth. These variations enable different species to build huge populations in the same area, because they specialize in different types of prey, which they capture by as wide a range of methods as spiders use. Most species are hermaphrodites—a single animal can produce both eggs and sperm, meaning it can fertilize its own egg, not needing a mate. Some are simultaneous hermaphrodites, which can produce both eggs and sperm at the same time. Others are sequential hermaphrodites, in which the eggs and sperm mature at different times. Fertilization is generally external, although platyctenids' eggs are fertilized inside their parents' bodies and kept there until they hatch. The young are generally planktonic and in most species look like miniature cydippids, gradually changing into their adult shapes as they grow. The exceptions are the beroids, whose young are miniature beroids with large mouths and no tentacles, and the platyctenids, whose young live as cydippid-like plankton until they reach near-adult size, but then sink to the bottom and rapidly metamorphose into the adult form. In at least some species, juveniles are capable of reproduction before reaching the adult size and shape. The combination of hermaphroditism and early reproduction enables small populations to grow at an explosive rate. Ctenophores may be abundant during the summer months in some coastal locations, but in other places they are uncommon and difficult to find. In bays where they occur in very high numbers, predation by ctenophores may control the populations of small zooplanktonic organisms such as copepods, which might otherwise wipe out the phytoplankton (planktonic plants), which are a vital part of marine food chains. One ctenophore, Mnemiopsis, has accidentally been introduced into the Black Sea, where it is blamed for causing fish stocks to collapse by eating both fish larvae and organisms that would otherwise have fed the fish. The situation was aggravated by other factors, such as over-fishing and long-term environmental changes that promoted the growth of the Mnemiopsis population. The later accidental introduction of Beroe helped to mitigate the problem, as Beroe preys on other ctenophores. Despite their soft, gelatinous bodies, fossils thought to represent ctenophores, apparently with no tentacles but many more comb-rows than modern forms, have been found in lagerstätten as far back as the early Cambrian, about 515 million years ago. The position of the ctenophores in the evolutionary family tree of animals has long been debated, and the majority view at present, based on molecular phylogenetics, is that cnidarians and bilaterians are more closely related to each other than either is to ctenophores. A recent molecular phylogenetics analysis concluded that the common ancestor of all modern ctenophores was cydippid-like, and that all the modern groups appeared relatively recently, probably after the Cretaceous–Paleogene extinction event 66 million years ago. Evidence accumulating since the 1980s indicates that the "cydippids" are not monophyletic, in other words do not include all and only the descendants of a single common ancestor, because all the other traditional ctenophore groups are descendants of various cydippids. ###Question: How much can Ctenophores eat in one day? ###Answer: {'answer':'ten times their own weight'}
###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: When was the IPCC Third Assessment Report published? ###Answer: {'answer':'2001'}
###Answer the question from the input provided. Please answer from input only. ###Input: The other third of the water flows through the Pannerdens Kanaal and redistributes in the IJssel and Nederrijn. The IJssel branch carries one ninth of the water flow of the Rhine north into the IJsselmeer (a former bay), while the Nederrijn carries approximately two ninths of the flow west along a route parallel to the Waal. However, at Wijk bij Duurstede, the Nederrijn changes its name and becomes the Lek. It flows farther west, to rejoin the Noord River into the Nieuwe Maas and to the North Sea. The name Rijn, from here on, is used only for smaller streams farther to the north, which together formed the main river Rhine in Roman times. Though they retained the name, these streams no longer carry water from the Rhine, but are used for draining the surrounding land and polders. From Wijk bij Duurstede, the old north branch of the Rhine is called Kromme Rijn ("Bent Rhine") past Utrecht, first Leidse Rijn ("Rhine of Leiden") and then, Oude Rijn ("Old Rhine"). The latter flows west into a sluice at Katwijk, where its waters can be discharged into the North Sea. This branch once formed the line along which the Limes Germanicus were built. During periods of lower sea levels within the various ice ages, the Rhine took a left turn, creating the Channel River, the course of which now lies below the English Channel. The Rhine-Meuse Delta, the most important natural region of the Netherlands begins near Millingen aan de Rijn, close to the Dutch-German border with the division of the Rhine into Waal and Nederrijn. Since the Rhine contributes most of the water, the shorter term Rhine Delta is commonly used. However, this name is also used for the river delta where the Rhine flows into Lake Constance, so it is clearer to call the larger one Rhine-Meuse delta, or even Rhine–Meuse–Scheldt delta, as the Scheldt ends in the same delta. The shape of the Rhine delta is determined by two bifurcations: first, at Millingen aan de Rijn, the Rhine splits into Waal and Pannerdens Kanaal, which changes its name to Nederrijn at Angeren, and second near Arnhem, the IJssel branches off from the Nederrijn. This creates three main flows, two of which change names rather often. The largest and southern main branch begins as Waal and continues as Boven Merwede ("Upper Merwede"), Beneden Merwede ("Lower Merwede"), Noord River ("North River"), Nieuwe Maas ("New Meuse"), Het Scheur ("the Rip") and Nieuwe Waterweg ("New Waterway"). The middle flow begins as Nederrijn, then changes into Lek, then joins the Noord, thereby forming Nieuwe Maas. The northern flow keeps the name IJssel until it flows into Lake IJsselmeer. Three more flows carry significant amounts of water: the Nieuwe Merwede ("New Merwede"), which branches off from the southern branch where it changes from Boven to Beneden Merwede; the Oude Maas ("Old Meuse"), which branches off from the southern branch where it changes from Beneden Merwede into Noord, and Dordtse Kil, which branches off from Oude Maas. Before the St. Elizabeth's flood (1421), the Meuse flowed just south of today's line Merwede-Oude Maas to the North Sea and formed an archipelago-like estuary with Waal and Lek. This system of numerous bays, estuary-like extended rivers, many islands and constant changes of the coastline, is hard to imagine today. From 1421 to 1904, the Meuse and Waal merged further upstream at Gorinchem to form Merwede. For flood protection reasons, the Meuse was separated from the Waal through a lock and diverted into a new outlet called "Bergse Maas", then Amer and then flows into the former bay Hollands Diep. ###Question: At Millingen aan de Rijn where the Rhine splits, what does it change it's name to? ###Answer: {'answer':'Nederrijn at Angeren'}
###Answer the question from the input provided. Please answer from input only. ###Input: At the same time the Mongols imported Central Asian Muslims to serve as administrators in China, the Mongols also sent Han Chinese and Khitans from China to serve as administrators over the Muslim population in Bukhara in Central Asia, using foreigners to curtail the power of the local peoples of both lands. Han Chinese were moved to Central Asian areas like Besh Baliq, Almaliq, and Samarqand by the Mongols where they worked as artisans and farmers. Alans were recruited into the Mongol forces with one unit called "Right Alan Guard" which was combined with "recently surrendered" soldiers, Mongols, and Chinese soldiers stationed in the area of the former Kingdom of Qocho and in Besh Balikh the Mongols established a Chinese military colony led by Chinese general Qi Kongzhi (Ch'i Kung-chih). After the Mongol conquest of Central Asia by Genghis Khan, foreigners were chosen as administrators and co-management with Chinese and Qara-Khitays (Khitans) of gardens and fields in Samarqand was put upon the Muslims as a requirement since Muslims were not allowed to manage without them. The Mongol appointed Governor of Samarqand was a Qara-Khitay (Khitan), held the title Taishi, familiar with Chinese culture his name was Ahai Despite the high position given to Muslims, some policies of the Yuan Emperors severely discriminated against them, restricting Halal slaughter and other Islamic practices like circumcision, as well as Kosher butchering for Jews, forcing them to eat food the Mongol way. Toward the end, corruption and the persecution became so severe that Muslim generals joined Han Chinese in rebelling against the Mongols. The Ming founder Zhu Yuanzhang had Muslim generals like Lan Yu who rebelled against the Mongols and defeated them in combat. Some Muslim communities had a Chinese surname which meant "barracks" and could also mean "thanks". Many Hui Muslims claim this is because that they played an important role in overthrowing the Mongols and it was given in thanks by the Han Chinese for assisting them. During the war fighting the Mongols, among the Ming Emperor Zhu Yuanzhang's armies was the Hui Muslim Feng Sheng. The Muslims in the semu class also revolted against the Yuan dynasty in the Ispah Rebellion but the rebellion was crushed and the Muslims were massacred by the Yuan loyalist commander Chen Youding. The historian Frederick W. Mote wrote that the usage of the term "social classes" for this system was misleading and that the position of people within the four-class system was not an indication of their actual social power and wealth, but just entailed "degrees of privilege" to which they were entitled institutionally and legally, so a person's standing within the classes was not a guarantee of their standing, since there were rich and well socially standing Chinese while there were less rich Mongol and Semu than there were Mongol and Semu who lived in poverty and were ill treated. The reason for the order of the classes and the reason why people were placed in a certain class was the date they surrendered to the Mongols, and had nothing to do with their ethnicity. The earlier they surrendered to the Mongols, the higher they were placed, the more the held out, the lower they were ranked. The Northern Chinese were ranked higher and Southern Chinese were ranked lower because southern China withstood and fought to the last before caving in. Major commerce during this era gave rise to favorable conditions for private southern Chinese manufacturers and merchants. When the Mongols placed the Uighurs of the Kingdom of Qocho over the Koreans at the court the Korean King objected, then the Mongol Emperor Kublai Khan rebuked the Korean King, saying that the Uighur King of Qocho was ranked higher than the Karluk Kara-Khanid ruler, who in turn was ranked higher than the Korean King, who was ranked last, because the Uighurs surrendered to the Mongols first, the Karluks surrendered after the Uighurs, and the Koreans surrendered last, and that the Uighurs surrendered peacefully without violently resisting. ###Question: Who did the Mongols bring to China as administrators? ###Answer: {'answer':'Central Asian Muslims'}
###Answer the question from the input provided. Please answer from input only. ###Input: Gamma delta T cells (γδ T cells) possess an alternative T cell receptor (TCR) as opposed to CD4+ and CD8+ (αβ) T cells and share the characteristics of helper T cells, cytotoxic T cells and NK cells. The conditions that produce responses from γδ T cells are not fully understood. Like other 'unconventional' T cell subsets bearing invariant TCRs, such as CD1d-restricted Natural Killer T cells, γδ T cells straddle the border between innate and adaptive immunity. On one hand, γδ T cells are a component of adaptive immunity as they rearrange TCR genes to produce receptor diversity and can also develop a memory phenotype. On the other hand, the various subsets are also part of the innate immune system, as restricted TCR or NK receptors may be used as pattern recognition receptors. For example, large numbers of human Vγ9/Vδ2 T cells respond within hours to common molecules produced by microbes, and highly restricted Vδ1+ T cells in epithelia respond to stressed epithelial cells. A B cell identifies pathogens when antibodies on its surface bind to a specific foreign antigen. This antigen/antibody complex is taken up by the B cell and processed by proteolysis into peptides. The B cell then displays these antigenic peptides on its surface MHC class II molecules. This combination of MHC and antigen attracts a matching helper T cell, which releases lymphokines and activates the B cell. As the activated B cell then begins to divide, its offspring (plasma cells) secrete millions of copies of the antibody that recognizes this antigen. These antibodies circulate in blood plasma and lymph, bind to pathogens expressing the antigen and mark them for destruction by complement activation or for uptake and destruction by phagocytes. Antibodies can also neutralize challenges directly, by binding to bacterial toxins or by interfering with the receptors that viruses and bacteria use to infect cells. When B cells and T cells are activated and begin to replicate, some of their offspring become long-lived memory cells. Throughout the lifetime of an animal, these memory cells remember each specific pathogen encountered and can mount a strong response if the pathogen is detected again. This is "adaptive" because it occurs during the lifetime of an individual as an adaptation to infection with that pathogen and prepares the immune system for future challenges. Immunological memory can be in the form of either passive short-term memory or active long-term memory. Newborn infants have no prior exposure to microbes and are particularly vulnerable to infection. Several layers of passive protection are provided by the mother. During pregnancy, a particular type of antibody, called IgG, is transported from mother to baby directly across the placenta, so human babies have high levels of antibodies even at birth, with the same range of antigen specificities as their mother. Breast milk or colostrum also contains antibodies that are transferred to the gut of the infant and protect against bacterial infections until the newborn can synthesize its own antibodies. This is passive immunity because the fetus does not actually make any memory cells or antibodies—it only borrows them. This passive immunity is usually short-term, lasting from a few days up to several months. In medicine, protective passive immunity can also be transferred artificially from one individual to another via antibody-rich serum. Hormones can act as immunomodulators, altering the sensitivity of the immune system. For example, female sex hormones are known immunostimulators of both adaptive and innate immune responses. Some autoimmune diseases such as lupus erythematosus strike women preferentially, and their onset often coincides with puberty. By contrast, male sex hormones such as testosterone seem to be immunosuppressive. Other hormones appear to regulate the immune system as well, most notably prolactin, growth hormone and vitamin D. ###Question: Gamma delta T cells share the characteristics of what other types of T cells? ###Answer: {'answer':'helper T cells, cytotoxic T cells and NK cells'}
###Answer the question from the input provided. Please answer from input only. ###Input: The costume collection is the most comprehensive in Britain, containing over 14,000 outfits plus accessories, mainly dating from 1600 to the present. Costume sketches, design notebooks, and other works on paper are typically held by the Word and Image department. Because everyday clothing from previous eras has not generally survived, the collection is dominated by fashionable clothes made for special occasions. One of the first significant gifts of costume came in 1913 when the V&A received the Talbot Hughes collection containing 1,442 costumes and items as a gift from Harrods following its display at the nearby department store. In 2002, the Museum acquired the Costiff collection of 178 Vivienne Westwood costumes. Other famous designers with work in the collection include Coco Chanel, Hubert de Givenchy, Christian Dior, Cristóbal Balenciaga, Yves Saint Laurent, Guy Laroche, Irene Galitzine, Mila Schön, Valentino Garavani, Norman Norell, Norman Hartnell, Zandra Rhodes, Hardy Amies, Mary Quant, Christian Lacroix, Jean Muir and Pierre Cardin. The museum continues to acquire examples of modern fashion to add to the collection. The Soulages collection of Italian and French Renaissance objects was acquired between 1859 and 1865, and includes several cassone. The John Jones Collection of French 18th-century art and furnishings was left to the museum in 1882, then valued at £250,000. One of the most important pieces in this collection is a marquetry commode by the ébéniste Jean Henri Riesener dated c1780. Other signed pieces of furniture in the collection include a bureau by Jean-François Oeben, a pair of pedestals with inlaid brass work by André Charles Boulle, a commode by Bernard Vanrisamburgh and a work-table by Martin Carlin. Other 18th-century ébénistes represented in the Museum collection include Adam Weisweiler, David Roentgen, Gilles Joubert & Pierre Langlois. In 1901, Sir George Donaldson donated several pieces of art Nouveau furniture to the museum, which he had acquired the previous year at the Paris Exposition Universelle. This was criticized at the time, with the result that the museum ceased to collect contemporary items and did not do so again until the 1960s. In 1986 the Lady Abingdon collection of French Empire furniture was bequeathed by Mrs T. R. P. Hole. There are a set of beautiful inlaid doors, dated 1580 from Antwerp City Hall, attributed to Hans Vredeman de Vries. One of the finest pieces of continental furniture in the collection is the Rococo Augustus Rex Bureau Cabinet dated c1750 from Germany, with especially fine marquetry and ormolu mounts. One of the grandest pieces of 19th-century furniture is the highly elaborate French Cabinet dated 1861–1867 made by M. Fourdinois, made from ebony inlaid with box, lime, holly, pear, walnut and mahogany woods as well as marble with gilded carvings. Furniture designed by Ernest Gimson, Edward William Godwin, Charles Voysey, Adolf Loos and Otto Wagner are among the late 19th-century and early 20th-century examples in the collection. The work of modernists in the collection include Le Corbusier, Marcel Breuer, Charles and Ray Eames, and Giò Ponti. The jewellery collection, containing over 6000 items is one of the finest and most comprehensive collections of jewellery in the world and includes works dating from Ancient Egypt to the present day, as well as jewellery designs on paper. The museum owns pieces by renowned jewelers Cartier, Jean Schlumberger, Peter Carl Fabergé, Hemmerle and Lalique. Other items in the collection include diamond dress ornaments made for Catherine the Great, bracelet clasps once belonging to Marie Antoinette, and the Beauharnais emerald necklace presented by Napoleon to his adopted daughter Hortense de Beauharnais in 1806. The museum also collects international modern jewellery by designers such as Gijs Bakker, Onno Boekhoudt, Peter Chang, Gerda Flockinger, Lucy Sarneel, Dorothea Prühl and Wendy Ramshaw, and African and Asian traditional jewellery. Major bequests include Reverend Chauncy Hare Townshend's collection of 154 gems bequeathed in 1869, Lady Cory's 1951 gift of major diamond jewellery from the 18th and 19th centuries, and jewellery scholar Dame Joan Evans' 1977 gift of more than 800 jewels dating from the Middle Ages to the early 19th century. A new jewellery gallery, funded by William and Judith Bollinger, opened on 24 May 2008. ###Question: When did the V&A acquired the Costiff collection? ###Answer: {'answer':'2002'}
###Answer the question from the input provided. Please answer from input only. ###Input: A wide selection of serials are available from BBC Video on DVD, on sale in the United Kingdom, Australia, Canada and the United States. Every fully extant serial has been released on VHS, and BBC Worldwide continues to regularly release serials on DVD. The 2005 series is also available in its entirety on UMD for the PlayStation Portable. Eight original series serials have been released on Laserdisc and many have also been released on Betamax tape and Video 2000. One episode of Doctor Who (The Infinite Quest) was released on VCD. Only the series from 2009 onwards are available on Blu-ray, except for the 1970 story Spearhead from Space, released in July 2013. Many early releases have been re-released as special editions, with more bonus features. Doctor Who has appeared on stage numerous times. In the early 1970s, Trevor Martin played the role in Doctor Who and the Daleks in the Seven Keys to Doomsday. In the late 1980s, Jon Pertwee and Colin Baker both played the Doctor at different times during the run of a play titled Doctor Who – The Ultimate Adventure. For two performances, while Pertwee was ill, David Banks (better known for playing Cybermen) played the Doctor. Other original plays have been staged as amateur productions, with other actors playing the Doctor, while Terry Nation wrote The Curse of the Daleks, a stage play mounted in the late 1960s, but without the Doctor. Following the success of the 2005 series produced by Russell T Davies, the BBC commissioned Davies to produce a 13-part spin-off series titled Torchwood (an anagram of "Doctor Who"), set in modern-day Cardiff and investigating alien activities and crime. The series debuted on BBC Three on 22 October 2006. John Barrowman reprised his role of Jack Harkness from the 2005 series of Doctor Who. Two other actresses who appeared in Doctor Who also star in the series; Eve Myles as Gwen Cooper, who also played the similarly named servant girl Gwyneth in the 2005 Doctor Who episode "The Unquiet Dead", and Naoko Mori who reprised her role as Toshiko Sato first seen in "Aliens of London". A second series of Torchwood aired in 2008; for three episodes, the cast was joined by Freema Agyeman reprising her Doctor Who role of Martha Jones. A third series was broadcast from 6 to 10 July 2009, and consisted of a single five-part story called Children of Earth which was set largely in London. A fourth series, Torchwood: Miracle Day jointly produced by BBC Wales, BBC Worldwide and the American entertainment company Starz debuted in 2011. The series was predominantly set in the United States, though Wales remained part of the show's setting. The Sarah Jane Adventures, starring Elisabeth Sladen who reprised her role as investigative journalist Sarah Jane Smith, was developed by CBBC; a special aired on New Year's Day 2007 and a full series began on 24 September 2007. A second series followed in 2008, notable for (as noted above) featuring the return of Brigadier Lethbridge-Stewart. A third in 2009 featured a crossover appearance from the main show by David Tennant as the Tenth Doctor. In 2010, a further such appearance featured Matt Smith as the Eleventh Doctor alongside former companion actress Katy Manning reprising her role as Jo Grant. A final, three-story fifth series was transmitted in autumn 2011 – uncompleted due to the death of Elisabeth Sladen in early 2011. In 1993, for the franchise's 30th anniversary, another charity special, titled Dimensions in Time was produced for Children in Need, featuring all of the surviving actors who played the Doctor and a number of previous companions. It also featured a crossover with the soap opera EastEnders, the action taking place in the latter's Albert Square location and around Greenwich. The special was one of several special 3D programmes the BBC produced at the time, using a 3D system that made use of the Pulfrich effect requiring glasses with one darkened lens; the picture would look normal to those viewers who watched without the glasses. ###Question: Who played Doctor Who on stage in the 70's? ###Answer: {'answer':'Trevor Martin'}
###Answer the question from the input provided. Please answer from input only. ###Input: Following the French Crown's revocation of the Edict of Nantes, many Huguenots settled in Ireland in the late 17th and early 18th centuries, encouraged by an act of parliament for Protestants' settling in Ireland. Huguenot regiments fought for William of Orange in the Williamite war in Ireland, for which they were rewarded with land grants and titles, many settling in Dublin. Significant Huguenot settlements were in Dublin, Cork, Portarlington, Lisburn, Waterford and Youghal. Smaller settlements, which included Killeshandra in County Cavan, contributed to the expansion of flax cultivation and the growth of the Irish linen industry. Prince Louis de Condé, along with his sons Daniel and Osias,[citation needed] arranged with Count Ludwig von Nassau-Saarbrücken to establish a Huguenot community in present-day Saarland in 1604. The Count supported mercantilism and welcomed technically skilled immigrants into his lands, regardless of their religion. The Condés established a thriving glass-making works, which provided wealth to the principality for many years. Other founding families created enterprises based on textiles and such traditional Huguenot occupations in France. The community and its congregation remain active to this day, with descendants of many of the founding families still living in the region. Some members of this community emigrated to the United States in the 1890s. The bulk of Huguenot émigrés relocated to Protestant European nations such as England, Wales, Scotland, Denmark, Sweden, Switzerland, the Dutch Republic, the Electorate of Brandenburg and Electorate of the Palatinate in the Holy Roman Empire, the Duchy of Prussia, the Channel Islands, and Ireland. They also spread beyond Europe to the Dutch Cape Colony in South Africa, the Dutch East Indies, the Caribbean, and several of the English colonies of North America, and Quebec, where they were accepted and allowed to worship freely. Some disagree with such double or triple non-French linguistic origins, arguing that for the word to have spread into common use in France, it must have originated in the French language. The "Hugues hypothesis" argues that the name was derived by association with Hugues Capet, king of France, who reigned long before the Reformation. He was regarded by the Gallicans and Protestants as a noble man who respected people's dignity and lives. Janet Gray and other supporters of the hypothesis suggest that the name huguenote would be roughly equivalent to little Hugos, or those who want Hugo. Other predecessors of the Reformed church included the pro-reform and Gallican Roman Catholics, such as Jacques Lefevre (c. 1455–1536). The Gallicans briefly achieved independence for the French church, on the principle that the religion of France could not be controlled by the Bishop of Rome, a foreign power. During the Protestant Reformation, Lefevre, a professor at the University of Paris, published his French translation of the New Testament in 1523, followed by the whole Bible in the French language in 1530. William Farel was a student of Lefevre who went on to become a leader of the Swiss Reformation, establishing a Protestant government in Geneva. Jean Cauvin (John Calvin), another student at the University of Paris, also converted to Protestantism. Long after the sect was suppressed by Francis I, the remaining French Waldensians, then mostly in the Luberon region, sought to join William Farel, Calvin and the Reformation, and Olivetan published a French Bible for them. The French Confession of 1559 shows a decidedly Calvinistic influence. Sometime between 1550 and 1580, members of the Reformed church in France came to be commonly known as Huguenots.[citation needed] ###Question: From what French King did the Huguenot name possibly descend? ###Answer: {'answer':'Hugues Capet'}
###Answer the question from the input provided. Please answer from input only. ###Input: Immunology is strongly experimental in everyday practice but is also characterized by an ongoing theoretical attitude. Many theories have been suggested in immunology from the end of the nineteenth century up to the present time. The end of the 19th century and the beginning of the 20th century saw a battle between "cellular" and "humoral" theories of immunity. According to the cellular theory of immunity, represented in particular by Elie Metchnikoff, it was cells – more precisely, phagocytes – that were responsible for immune responses. In contrast, the humoral theory of immunity, held, among others, by Robert Koch and Emil von Behring, stated that the active immune agents were soluble components (molecules) found in the organism’s “humors” rather than its cells. Clearly, some tumors evade the immune system and go on to become cancers. Tumor cells often have a reduced number of MHC class I molecules on their surface, thus avoiding detection by killer T cells. Some tumor cells also release products that inhibit the immune response; for example by secreting the cytokine TGF-β, which suppresses the activity of macrophages and lymphocytes. In addition, immunological tolerance may develop against tumor antigens, so the immune system no longer attacks the tumor cells. Hypersensitivity is an immune response that damages the body's own tissues. They are divided into four classes (Type I – IV) based on the mechanisms involved and the time course of the hypersensitive reaction. Type I hypersensitivity is an immediate or anaphylactic reaction, often associated with allergy. Symptoms can range from mild discomfort to death. Type I hypersensitivity is mediated by IgE, which triggers degranulation of mast cells and basophils when cross-linked by antigen. Type II hypersensitivity occurs when antibodies bind to antigens on the patient's own cells, marking them for destruction. This is also called antibody-dependent (or cytotoxic) hypersensitivity, and is mediated by IgG and IgM antibodies. Immune complexes (aggregations of antigens, complement proteins, and IgG and IgM antibodies) deposited in various tissues trigger Type III hypersensitivity reactions. Type IV hypersensitivity (also known as cell-mediated or delayed type hypersensitivity) usually takes between two and three days to develop. Type IV reactions are involved in many autoimmune and infectious diseases, but may also involve contact dermatitis (poison ivy). These reactions are mediated by T cells, monocytes, and macrophages. An evasion strategy used by several pathogens to avoid the innate immune system is to hide within the cells of their host (also called intracellular pathogenesis). Here, a pathogen spends most of its life-cycle inside host cells, where it is shielded from direct contact with immune cells, antibodies and complement. Some examples of intracellular pathogens include viruses, the food poisoning bacterium Salmonella and the eukaryotic parasites that cause malaria (Plasmodium falciparum) and leishmaniasis (Leishmania spp.). Other bacteria, such as Mycobacterium tuberculosis, live inside a protective capsule that prevents lysis by complement. Many pathogens secrete compounds that diminish or misdirect the host's immune response. Some bacteria form biofilms to protect themselves from the cells and proteins of the immune system. Such biofilms are present in many successful infections, e.g., the chronic Pseudomonas aeruginosa and Burkholderia cenocepacia infections characteristic of cystic fibrosis. Other bacteria generate surface proteins that bind to antibodies, rendering them ineffective; examples include Streptococcus (protein G), Staphylococcus aureus (protein A), and Peptostreptococcus magnus (protein L). The mechanisms used to evade the adaptive immune system are more complicated. The simplest approach is to rapidly change non-essential epitopes (amino acids and/or sugars) on the surface of the pathogen, while keeping essential epitopes concealed. This is called antigenic variation. An example is HIV, which mutates rapidly, so the proteins on its viral envelope that are essential for entry into its host target cell are constantly changing. These frequent changes in antigens may explain the failures of vaccines directed at this virus. The parasite Trypanosoma brucei uses a similar strategy, constantly switching one type of surface protein for another, allowing it to stay one step ahead of the antibody response. Masking antigens with host molecules is another common strategy for avoiding detection by the immune system. In HIV, the envelope that covers the virion is formed from the outermost membrane of the host cell; such "self-cloaked" viruses make it difficult for the immune system to identify them as "non-self" structures. ###Question: What is the process by which pathogens evade the immune system by hiding inside the host cells called? ###Answer: {'answer':'intracellular pathogenesis'}
###Answer the question from the input provided. Please answer from input only. ###Input: In 1891 Scottish chemist James Dewar was able to produce enough liquid oxygen to study. The first commercially viable process for producing liquid oxygen was independently developed in 1895 by German engineer Carl von Linde and British engineer William Hampson. Both men lowered the temperature of air until it liquefied and then distilled the component gases by boiling them off one at a time and capturing them. Later, in 1901, oxyacetylene welding was demonstrated for the first time by burning a mixture of acetylene and compressed O 2. This method of welding and cutting metal later became common. Oxygen is more soluble in water than nitrogen is. Water in equilibrium with air contains approximately 1 molecule of dissolved O 2 for every 2 molecules of N 2, compared to an atmospheric ratio of approximately 1:4. The solubility of oxygen in water is temperature-dependent, and about twice as much (14.6 mg·L−1) dissolves at 0 °C than at 20 °C (7.6 mg·L−1). At 25 °C and 1 standard atmosphere (101.3 kPa) of air, freshwater contains about 6.04 milliliters (mL) of oxygen per liter, whereas seawater contains about 4.95 mL per liter. At 5 °C the solubility increases to 9.0 mL (50% more than at 25 °C) per liter for water and 7.2 mL (45% more) per liter for sea water. Oxygen is the most abundant chemical element by mass in the Earth's biosphere, air, sea and land. Oxygen is the third most abundant chemical element in the universe, after hydrogen and helium. About 0.9% of the Sun's mass is oxygen. Oxygen constitutes 49.2% of the Earth's crust by mass and is the major component of the world's oceans (88.8% by mass). Oxygen gas is the second most common component of the Earth's atmosphere, taking up 20.8% of its volume and 23.1% of its mass (some 1015 tonnes).[d] Earth is unusual among the planets of the Solar System in having such a high concentration of oxygen gas in its atmosphere: Mars (with 0.1% O 2 by volume) and Venus have far lower concentrations. The O 2 surrounding these other planets is produced solely by ultraviolet radiation impacting oxygen-containing molecules such as carbon dioxide. By the late 19th century scientists realized that air could be liquefied, and its components isolated, by compressing and cooling it. Using a cascade method, Swiss chemist and physicist Raoul Pierre Pictet evaporated liquid sulfur dioxide in order to liquefy carbon dioxide, which in turn was evaporated to cool oxygen gas enough to liquefy it. He sent a telegram on December 22, 1877 to the French Academy of Sciences in Paris announcing his discovery of liquid oxygen. Just two days later, French physicist Louis Paul Cailletet announced his own method of liquefying molecular oxygen. Only a few drops of the liquid were produced in either case so no meaningful analysis could be conducted. Oxygen was liquified in stable state for the first time on March 29, 1883 by Polish scientists from Jagiellonian University, Zygmunt Wróblewski and Karol Olszewski. Planetary geologists have measured different abundances of oxygen isotopes in samples from the Earth, the Moon, Mars, and meteorites, but were long unable to obtain reference values for the isotope ratios in the Sun, believed to be the same as those of the primordial solar nebula. Analysis of a silicon wafer exposed to the solar wind in space and returned by the crashed Genesis spacecraft has shown that the Sun has a higher proportion of oxygen-16 than does the Earth. The measurement implies that an unknown process depleted oxygen-16 from the Sun's disk of protoplanetary material prior to the coalescence of dust grains that formed the Earth. ###Question: What celestial object eluded efforts to measure oxygen? ###Answer: {'answer':'Sun'}
###Answer the question from the input provided. Please answer from input only. ###Input: In 1516, Johann Tetzel, a Dominican friar and papal commissioner for indulgences, was sent to Germany by the Roman Catholic Church to sell indulgences to raise money to rebuild St. Peter's Basilica in Rome. Roman Catholic theology stated that faith alone, whether fiduciary or dogmatic, cannot justify man; justification rather depends only on such faith as is active in charity and good works (fides caritate formata). The benefits of good works could be obtained by donating money to the church. On 31 October 1517, Luther wrote to his bishop, Albert of Mainz, protesting the sale of indulgences. He enclosed in his letter a copy of his "Disputation of Martin Luther on the Power and Efficacy of Indulgences", which came to be known as The Ninety-Five Theses. Hans Hillerbrand writes that Luther had no intention of confronting the church, but saw his disputation as a scholarly objection to church practices, and the tone of the writing is accordingly "searching, rather than doctrinaire." Hillerbrand writes that there is nevertheless an undercurrent of challenge in several of the theses, particularly in Thesis 86, which asks: "Why does the pope, whose wealth today is greater than the wealth of the richest Crassus, build the basilica of St. Peter with the money of poor believers rather than with his own money?" Luther objected to a saying attributed to Johann Tetzel that "As soon as the coin in the coffer rings, the soul from purgatory (also attested as 'into heaven') springs." He insisted that, since forgiveness was God's alone to grant, those who claimed that indulgences absolved buyers from all punishments and granted them salvation were in error. Christians, he said, must not slacken in following Christ on account of such false assurances. However, this oft-quoted saying of Tetzel was by no means representative of contemporary Catholic teaching on indulgences, but rather a reflection of his capacity to exaggerate. Yet if Tetzel overstated the matter in regard to indulgences for the dead, his teaching on indulgences for the living was in line with Catholic dogma of the time. ###Question: When was Johann Tetzel sent by the Roman Catholic Church to Germany to sell indulgences? ###Answer: {'answer':'1516'}
###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 kind of disorders are the result of an overactive immune response? ###Answer: {'answer':'autoimmune disorders'}
###Answer the question from the input provided. Please answer from input only. ###Input: Tesla also explained the principles of the rotating magnetic field in an induction motor by demonstrating how to make a copper egg stand on end using a device he constructed known as the Egg of Columbus. On 11 July 1934, the New York Herald Tribune published an article on Tesla, in which he recalled an event that would occasionally take place while experimenting with his single-electrode vacuum tubes; a minute particle would break off the cathode, pass out of the tube, and physically strike him. "Tesla said he could feel a sharp stinging pain where it entered his body, and again at the place where it passed out." In comparing these particles with the bits of metal projected by his "electric gun," Tesla said, "The particles in the beam of force ... will travel much faster than such particles ... and they will travel in concentrations." Tesla's theories on the possibility of the transmission by radio waves go back as far as lectures and demonstrations in 1893 in St. Louis, Missouri, the Franklin Institute in Philadelphia, Pennsylvania, and the National Electric Light Association. Tesla's demonstrations and principles were written about widely through various media outlets. Many devices such as the Tesla Coil were used in the further development of radio. In 1898, Tesla demonstrated a radio-controlled boat—which he dubbed "teleautomaton"—to the public during an electrical exhibition at Madison Square Garden. The crowd that witnessed the demonstration made outrageous claims about the workings of the boat, such as magic, telepathy, and being piloted by a trained monkey hidden inside. Tesla tried to sell his idea to the U.S. military as a type of radio-controlled torpedo, but they showed little interest. Remote radio control remained a novelty until World War I and afterward, when a number of countries used it in military programs. Tesla took the opportunity to further demonstrate "Teleautomatics" in an address to a meeting of the Commercial Club in Chicago, while he was travelling to Colorado Springs, on 13 May 1899. In 1900, Tesla was granted patents for a "system of transmitting electrical energy" and "an electrical transmitter." When Guglielmo Marconi made his famous first-ever transatlantic radio transmission in 1901, Tesla quipped that it was done with 17 Tesla patents, though there is little to support this claim. This was the beginning of years of patent battles over radio with Tesla's patents being upheld in 1903, followed by a reverse decision in favor of Marconi in 1904. In 1943, a Supreme Court of the United States decision restored the prior patents of Tesla, Oliver Lodge, and John Stone. The court declared that their decision had no bearing on Marconi's claim as the first to achieve radio transmission, just that since Marconi's claim to certain patents were questionable, he could not claim infringement on those same patents (there are claims the high court was trying to nullify a World War I claim against the U.S. government by the Marconi Company via simply restoring Tesla's prior patent). ###Question: When did Tesla give a demonstration of his remote control boat? ###Answer: {'answer':'1898'}
###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: How old were the fossils found in China? ###Answer: {'answer':'515 million years'}
###Answer the question from the input provided. Please answer from input only. ###Input: The Apollo program was conceived during the Eisenhower administration in early 1960, as a follow-up to Project Mercury. While the Mercury capsule could only support one astronaut on a limited Earth orbital mission, Apollo would carry three astronauts. Possible missions included ferrying crews to a space station, circumlunar flights, and eventual manned lunar landings. The program was named after the Greek god of light, music, and the sun by NASA manager Abe Silverstein, who later said that "I was naming the spacecraft like I'd name my baby." Silverstein chose the name at home one evening, early in 1960, because he felt "Apollo riding his chariot across the Sun was appropriate to the grand scale of the proposed program." In July 1960, NASA Deputy Administrator Hugh L. Dryden announced the Apollo program to industry representatives at a series of Space Task Group conferences. Preliminary specifications were laid out for a spacecraft with a mission module cabin separate from the command module (piloting and re-entry cabin), and a propulsion and equipment module. On August 30, a feasibility study competition was announced, and on October 25, three study contracts were awarded to General Dynamics/Convair, General Electric, and the Glenn L. Martin Company. Meanwhile, NASA performed its own in-house spacecraft design studies led by Maxime Faget, to serve as a gauge to judge and monitor the three industry designs. In November 1960, John F. Kennedy was elected president after a campaign that promised American superiority over the Soviet Union in the fields of space exploration and missile defense. Up to the election of 1960, Kennedy had been speaking out against the "missile gap" that he and many other senators felt had formed between the Soviets and themselves due to the inaction of President Eisenhower. Beyond military power, Kennedy used aerospace technology as a symbol of national prestige, pledging to make the US not "first but, first and, first if, but first period." Despite Kennedy's rhetoric, he did not immediately come to a decision on the status of the Apollo program once he became president. He knew little about the technical details of the space program, and was put off by the massive financial commitment required by a manned Moon landing. When Kennedy's newly appointed NASA Administrator James E. Webb requested a 30 percent budget increase for his agency, Kennedy supported an acceleration of NASA's large booster program but deferred a decision on the broader issue. On April 12, 1961, Soviet cosmonaut Yuri Gagarin became the first person to fly in space, reinforcing American fears about being left behind in a technological competition with the Soviet Union. At a meeting of the US House Committee on Science and Astronautics one day after Gagarin's flight, many congressmen pledged their support for a crash program aimed at ensuring that America would catch up. Kennedy was circumspect in his response to the news, refusing to make a commitment on America's response to the Soviets. On April 20, Kennedy sent a memo to Vice President Lyndon B. Johnson, asking Johnson to look into the status of America's space program, and into programs that could offer NASA the opportunity to catch up. Johnson responded approximately one week later, concluding that "we are neither making maximum effort nor achieving results necessary if this country is to reach a position of leadership." His memo concluded that a manned Moon landing was far enough in the future that it was likely the United States would achieve it first. ###Question: What month and day did Kennedy message his vice president about the status of the program? ###Answer: {'answer':'April 20'}
###Answer the question from the input provided. Please answer from input only. ###Input: Natural killer cells, or NK cells, are a component of the innate immune system which does not directly attack invading microbes. Rather, NK cells destroy compromised host cells, such as tumor cells or virus-infected cells, recognizing such cells by a condition known as "missing self." This term describes cells with low levels of a cell-surface marker called MHC I (major histocompatibility complex) – a situation that can arise in viral infections of host cells. They were named "natural killer" because of the initial notion that they do not require activation in order to kill cells that are "missing self." For many years it was unclear how NK cells recognize tumor cells and infected cells. It is now known that the MHC makeup on the surface of those cells is altered and the NK cells become activated through recognition of "missing self". Normal body cells are not recognized and attacked by NK cells because they express intact self MHC antigens. Those MHC antigens are recognized by killer cell immunoglobulin receptors (KIR) which essentially put the brakes on NK cells. The adaptive immune system evolved in early vertebrates and allows for a stronger immune response as well as immunological memory, where each pathogen is "remembered" by a signature antigen. The adaptive immune response is antigen-specific and requires the recognition of specific "non-self" antigens during a process called antigen presentation. Antigen specificity allows for the generation of responses that are tailored to specific pathogens or pathogen-infected cells. The ability to mount these tailored responses is maintained in the body by "memory cells". Should a pathogen infect the body more than once, these specific memory cells are used to quickly eliminate it. Both B cells and T cells carry receptor molecules that recognize specific targets. T cells recognize a "non-self" target, such as a pathogen, only after antigens (small fragments of the pathogen) have been processed and presented in combination with a "self" receptor called a major histocompatibility complex (MHC) molecule. There are two major subtypes of T cells: the killer T cell and the helper T cell. In addition there are regulatory T cells which have a role in modulating immune response. Killer T cells only recognize antigens coupled to Class I MHC molecules, while helper T cells and regulatory T cells only recognize antigens coupled to Class II MHC molecules. These two mechanisms of antigen presentation reflect the different roles of the two types of T cell. A third, minor subtype are the γδ T cells that recognize intact antigens that are not bound to MHC receptors. Killer T cells are a sub-group of T cells that kill cells that are infected with viruses (and other pathogens), or are otherwise damaged or dysfunctional. As with B cells, each type of T cell recognizes a different antigen. Killer T cells are activated when their T cell receptor (TCR) binds to this specific antigen in a complex with the MHC Class I receptor of another cell. Recognition of this MHC:antigen complex is aided by a co-receptor on the T cell, called CD8. The T cell then travels throughout the body in search of cells where the MHC I receptors bear this antigen. When an activated T cell contacts such cells, it releases cytotoxins, such as perforin, which form pores in the target cell's plasma membrane, allowing ions, water and toxins to enter. The entry of another toxin called granulysin (a protease) induces the target cell to undergo apoptosis. T cell killing of host cells is particularly important in preventing the replication of viruses. T cell activation is tightly controlled and generally requires a very strong MHC/antigen activation signal, or additional activation signals provided by "helper" T cells (see below). Helper T cells express T cell receptors (TCR) that recognize antigen bound to Class II MHC molecules. The MHC:antigen complex is also recognized by the helper cell's CD4 co-receptor, which recruits molecules inside the T cell (e.g., Lck) that are responsible for the T cell's activation. Helper T cells have a weaker association with the MHC:antigen complex than observed for killer T cells, meaning many receptors (around 200–300) on the helper T cell must be bound by an MHC:antigen in order to activate the helper cell, while killer T cells can be activated by engagement of a single MHC:antigen molecule. Helper T cell activation also requires longer duration of engagement with an antigen-presenting cell. The activation of a resting helper T cell causes it to release cytokines that influence the activity of many cell types. Cytokine signals produced by helper T cells enhance the microbicidal function of macrophages and the activity of killer T cells. In addition, helper T cell activation causes an upregulation of molecules expressed on the T cell's surface, such as CD40 ligand (also called CD154), which provide extra stimulatory signals typically required to activate antibody-producing B cells. ###Question: What kind of T cells kill cells that are infected with pathogens? ###Answer: {'answer':'Killer T cells'}
###Answer the question from the input provided. Please answer from input only. ###Input: Southern California includes the heavily built-up urban area stretching along the Pacific coast from Ventura, through the Greater Los Angeles Area and the Inland Empire, and down to Greater San Diego. Southern California's population encompasses seven metropolitan areas, or MSAs: the Los Angeles metropolitan area, consisting of Los Angeles and Orange counties; the Inland Empire, consisting of Riverside and San Bernardino counties; the San Diego metropolitan area; the Oxnard–Thousand Oaks–Ventura metropolitan area; the Santa Barbara metro area; the San Luis Obispo metropolitan area; and the El Centro area. Out of these, three are heavy populated areas: the Los Angeles area with over 12 million inhabitants, the Riverside-San Bernardino area with over four million inhabitants, and the San Diego area with over 3 million inhabitants. For CSA metropolitan purposes, the five counties of Los Angeles, Orange, Riverside, San Bernardino, and Ventura are all combined to make up the Greater Los Angeles Area with over 17.5 million people. With over 22 million people, southern California contains roughly 60 percent of California's population. To the east is the Colorado Desert and the Colorado River at the border with Arizona, and the Mojave Desert at the border with the state of Nevada. To the south is the Mexico–United States border. Within southern California are two major cities, Los Angeles and San Diego, as well as three of the country's largest metropolitan areas. With a population of 3,792,621, Los Angeles is the most populous city in California and the second most populous in the United States. To the south and with a population of 1,307,402 is San Diego, the second most populous city in the state and the eighth most populous in the nation. Its counties of Los Angeles, Orange, San Diego, San Bernardino, and Riverside are the five most populous in the state and all are in the top 15 most populous counties in the United States. The motion picture, television, and music industry is centered on the Los Angeles in southern California. Hollywood, a district within Los Angeles, is also a name associated with the motion picture industry. Headquartered in southern California are The Walt Disney Company (which also owns ABC), Sony Pictures, Universal, MGM, Paramount Pictures, 20th Century Fox, and Warner Brothers. Universal, Warner Brothers, and Sony also run major record companies as well. ###Question: What is the name of the water body that is found to the east? ###Answer: {'answer':'Colorado River'}
###Answer the question from the input provided. Please answer from input only. ###Input: These kinds of programs presented ABC with an image of the "philosophy of counterprogramming against its competitors", offering a strong lineup of programs that contrasted with those seen on its rival networks, which helped Goldenson give the network a continuum between film and television. ABC's western series (as well as series such as the actioner Zorro) went up against and defeated the variety shows aired by NBC and CBS in the fall of 1957, and its detective shows did the same in the fall of 1959. To captivate the network's audiences, short 66-minute series were scheduled a half-hour before their hour-long competition. In May 1961, Life criticized the public enthusiasm and sponsorship for these types of shows at the expense of news programming and denounced an unofficial law "replacing the good programs with the bad ones". In May 2013, ABC launched "WATCH ABC", a revamp of its traditional multi-platform streaming services encompassing the network's existing streaming portal at ABC.com and a mobile app for smartphones and tablet computers; in addition to providing full-length episodes of ABC programs, the service allows live programming streams of local ABC affiliates in select markets (the first such offering by a U.S. broadcast network). Similar to sister network ESPN's WatchESPN service (which originated the "WATCH" brand used by the streaming services of Disney's television networks), live streams of ABC stations are only available to authenticated subscribers of participating pay television providers in certain markets. New York City O&O WABC-TV and Philadelphia O&O WPVI-TV were the first stations to offer streams of their programming on the service (with a free preview for non-subscribers through June 2013), with the six remaining ABC O&Os offering streams by the start of the 2013–14 season. Hearst Television also reached a deal to offer streams of its ABC affiliates (including stations in Boston, Kansas City, Milwaukee and West Palm Beach) on the service. The Sinclair Broadcast Group is the largest operator of ABC stations by numerical total, owning or providing services to 28 ABC affiliates and two additional subchannel-only affiliates; Sinclair owns the largest ABC subchannel affiliate by market size, WABM-DT2/WDBB-DT2 in the Birmingham market, which serve as repeaters of WBMA-LD (the largest low-power "Big Four" affiliate by market size, which itself is also simulcast on a subchannel of former WBMA satellite WGWW, owned by Sinclair partner company Howard Stirk Holdings). The E. W. Scripps Company is the largest operator of ABC stations in terms of overall market reach, owning 15 ABC-affiliated stations (including affiliates in larger markets such as Cleveland, Phoenix, Detroit and Denver), and through its ownership of Phoenix affiliate KNXV, Las Vegas affiliate KTNV-TV and Tucson affiliate KGUN-TV, the only provider of ABC programming for the majority of Arizona (outside of the Yuma-El Centro market) and Southern Nevada. On June 16, 2007, ABC began to phase in a new imaging campaign for the upcoming 2007–08 season, "Start Here". Also developed by Troika, the on-air design was intended to emphasize the availability of ABC content across multiple platforms (in particular, using a system of icons representing different devices, such as television, computers and mobile devices), and "simplify and bring a lot more consistency and continuity to the visual representation of ABC". The ABC logo was also significantly redesigned as part of the transition, with a glossy "ball" effect that was specifically designed for HD. On-air, the logo was accompanied by animated water and ribbon effects. Red ribbons were used to represent the entertainment division, while blue ribbons were used for ABC News. The network has the unusual distinction of having separately owned and operated affiliates which serve the same market in Tampa, Florida (WFTS-TV and WWSB) and Grand Rapids, Michigan (WZZM and WOTV), with an analogous situation arising in Kansas City, Missouri (KMBC-TV and KQTV). KQTV is licensed to St. Joseph, Missouri, which is designated by Nielsen as a separate market from Kansas City despite being located within 55 miles (89 km) of one another, while WWSB and WOTV serve areas that do not receive an adequate signal from their market's primary ABC affiliate (in the case of WWSB, this dates back to when WTSP was Tampa's primary ABC affiliate prior to 1994, with the former being necessitated to serve the southern part of the Tampa market including the station's city of license, Sarasota, due to WTSP's transmitter being short-spaced to avoid interfering with the analog signal of Miami affiliate WPLG – which like WTSP, broadcast on VHF channel 10). ###Question: What was the programming philosophy pioneered by ABC and Goldenson? ###Answer: {'answer':'counterprogramming'}
###Answer the question from the input provided. Please answer from input only. ###Input: In 1881, Tesla moved to Budapest to work under Ferenc Puskás at a telegraph company, the Budapest Telephone Exchange. Upon arrival, Tesla realized that the company, then under construction, was not functional, so he worked as a draftsman in the Central Telegraph Office instead. Within a few months, the Budapest Telephone Exchange became functional and Tesla was allocated the chief electrician position. During his employment, Tesla made many improvements to the Central Station equipment and claimed to have perfected a telephone repeater or amplifier, which was never patented nor publicly described. In 1882, Tesla began working for the Continental Edison Company in France, designing and making improvements to electrical equipment. In June 1884, he relocated to New York City:57–60 where he was hired by Thomas Edison to work at his Edison Machine Works on Manhattan's lower east side. Tesla's work for Edison began with simple electrical engineering and quickly progressed to solving more difficult problems. Tesla was offered the task of completely redesigning the Edison Company's direct current generators. In 1885, he said that he could redesign Edison's inefficient motor and generators, making an improvement in both service and economy. According to Tesla, Edison remarked, "There's fifty thousand dollars in it for you—if you can do it.":54–57 :64 This has been noted as an odd statement from an Edison whose company was stingy with pay and who did not have that sort of cash on hand. After months of work, Tesla fulfilled the task and inquired about payment. Edison, saying that he was only joking, replied, "Tesla, you don't understand our American humor.":64 Instead, Edison offered a US$10 a week raise over Tesla's US$18 per week salary; Tesla refused the offer and immediately resigned. After leaving Edison's company Tesla partnered with two businessmen in 1886, Robert Lane and Benjamin Vail, who agreed to finance an electric lighting company in Tesla's name, Tesla Electric Light & Manufacturing. The company installed electrical arc light based illumination systems designed by Tesla and also had designs for dynamo electric machine commutators, the first patents issued to Tesla in the US. The investors showed little interest in Tesla's ideas for new types of motors and electrical transmission equipment and also seemed to think it was better to develop an electrical utility than invent new systems. They eventually forced Tesla out leaving him penniless. He even lost control of the patents he had generated since he had assigned them to the company in lieu of stock. He had to work at various electrical repair jobs and even as a ditch digger for $2 per day. Tesla considered the winter of 1886/1887 as a time of "terrible headaches and bitter tears." During this time, he questioned the value of his education. ###Question: When did Tesla begin working for the Continental Edison Company? ###Answer: {'answer':'1882'}
###Answer the question from the input provided. Please answer from input only. ###Input: It became clear that managing the Apollo program would exceed the capabilities of Robert R. Gilruth's Space Task Group, which had been directing the nation's manned space program from NASA's Langley Research Center. So Gilruth was given authority to grow his organization into a new NASA center, the Manned Spacecraft Center (MSC). A site was chosen in Houston, Texas, on land donated by Rice University, and Administrator Webb announced the conversion on September 19, 1961. It was also clear NASA would soon outgrow its practice of controlling missions from its Cape Canaveral Air Force Station launch facilities in Florida, so a new Mission Control Center would be included in the MSC. It also became clear that Apollo would outgrow the Canaveral launch facilities in Florida. The two newest launch complexes were already being built for the Saturn I and IB rockets at the northernmost end: LC-34 and LC-37. But an even bigger facility would be needed for the mammoth rocket required for the manned lunar mission, so land acquisition was started in July 1961 for a Launch Operations Center (LOC) immediately north of Canaveral at Merritt Island. The design, development and construction of the center was conducted by Kurt H. Debus, a member of Dr. Wernher von Braun's original V-2 rocket engineering team. Debus was named the LOC's first Director. Construction began in November 1962. Upon Kennedy's death, President Johnson issued an executive order on November 29, 1963, to rename the LOC and Cape Canaveral in honor of Kennedy. The LOC included Launch Complex 39, a Launch Control Center, and a 130 million cubic foot (3.7 million cubic meter) Vertical Assembly Building (VAB) in which the space vehicle (launch vehicle and spacecraft) would be assembled on a Mobile Launcher Platform and then moved by a transporter to one of several launch pads. Although at least three pads were planned, only two, designated A and B, were completed in October 1965. The LOC also included an Operations and Checkout Building (OCB) to which Gemini and Apollo spacecraft were initially received prior to being mated to their launch vehicles. The Apollo spacecraft could be tested in two vacuum chambers capable of simulating atmospheric pressure at altitudes up to 250,000 feet (76 km), which is nearly a vacuum. Administrator Webb realized that in order to keep Apollo costs under control, he had to develop greater project management skills in his organization, so he recruited Dr. George E. Mueller for a high management job. Mueller accepted, on the condition that he have a say in NASA reorganization necessary to effectively administer Apollo. Webb then worked with Associate Administrator (later Deputy Administrator) Robert Seamans to reorganize the Office of Manned Space Flight (OMSF). On July 23, 1963, Webb announced Mueller's appointment as Deputy Associate Administrator for Manned Space Flight, to replace then Associate Administrator D. Brainerd Holmes on his retirement effective September 1. Under Webb's reorganization, the directors of the Manned Spacecraft Center (Gilruth) Marshall Space Flight Center (von Braun) and the Launch Operations Center (Debus) effectively reported to Mueller. Based on his industry experience on Air Force missile projects, Mueller realized some skilled managers could be found among high-ranking officers in the United States Air Force, so he got Webb's permission to recruit General Samuel C. Phillips, who gained a reputation for his effective management of the Minuteman program, as OMSF program controller. Phillips' superior officer Bernard A. Schriever agreed to loan Phillips to NASA, along with a staff of officers under him, on the condition that Phillips be made Apollo Program Director. Mueller agreed, and Phillips managed Apollo from January 1964, until it achieved the first manned landing in July 1969, after which he returned to Air Force duty. ###Question: Where would the Launch Operations Center be located, as more land was needed for a bigger rocket? ###Answer: {'answer':'Merritt Island'}
###Answer the question from the input provided. Please answer from input only. ###Input: Since all modern ctenophores except the beroids have cydippid-like larvae, it has widely been assumed that their last common ancestor also resembled cydippids, having an egg-shaped body and a pair of retractable tentacles. Richard Harbison's purely morphological analysis in 1985 concluded that the cydippids are not monophyletic, in other words do not contain all and only the descendants of a single common ancestor that was itself a cydippid. Instead he found that various cydippid families were more similar to members of other ctenophore orders than to other cydippids. He also suggested that the last common ancestor of modern ctenophores was either cydippid-like or beroid-like. A molecular phylogeny analysis in 2001, using 26 species, including 4 recently discovered ones, confirmed that the cydippids are not monophyletic and concluded that the last common ancestor of modern ctenophores was cydippid-like. It also found that the genetic differences between these species were very small – so small that the relationships between the Lobata, Cestida and Thalassocalycida remained uncertain. This suggests that the last common ancestor of modern ctenophores was relatively recent, and perhaps was lucky enough to survive the Cretaceous–Paleogene extinction event 65.5 million years ago while other lineages perished. When the analysis was broadened to include representatives of other phyla, it concluded that cnidarians are probably more closely related to bilaterians than either group is to ctenophores but that this diagnosis is uncertain. Fresno (/ˈfrɛznoʊ/ FREZ-noh), the county seat of Fresno County, is a city in the U.S. state of California. As of 2015, the city's population was 520,159, making it the fifth-largest city in California, the largest inland city in California and the 34th-largest in the nation. Fresno is in the center of the San Joaquin Valley and is the largest city in the Central Valley, which contains the San Joaquin Valley. It is approximately 220 miles (350 km) northwest of Los Angeles, 170 miles (270 km) south of the state capital, Sacramento, or 185 miles (300 km) south of San Francisco. The name Fresno means "ash tree" in Spanish, and an ash leaf is featured on the city's flag. In 1872, the Central Pacific Railroad established a station near Easterby's—by now a hugely productive wheat farm—for its new Southern Pacific line. Soon there was a store around the station and the store grew the town of Fresno Station, later called Fresno. Many Millerton residents, drawn by the convenience of the railroad and worried about flooding, moved to the new community. Fresno became an incorporated city in 1885. By 1931 the Fresno Traction Company operated 47 streetcars over 49 miles of track. Before World War II, Fresno had many ethnic neighborhoods, including Little Armenia, German Town, Little Italy, and Chinatown. In 1940, the Census Bureau reported Fresno's population as 94.0% white, 3.3% black and 2.7% Asian. (Incongruously, Chinatown was primarily a Japanese neighborhood and today Japanese-American businesses still remain). During 1942, Pinedale, in what is now North Fresno, was the site of the Pinedale Assembly Center, an interim facility for the relocation of Fresno area Japanese Americans to internment camps. The Fresno Fairgrounds was also utilized as an assembly center. In September 1958, Bank of America launched a new product called BankAmericard in Fresno. After a troubled gestation during which its creator resigned, BankAmericard went on to become the first successful credit card; that is, a financial instrument that was usable across a large number of merchants and also allowed cardholders to revolve a balance (earlier financial products could do one or the other but not both). In 1976, BankAmericard was renamed and spun off into a separate company known today as Visa Inc. ###Question: The Central Pacific Railroad established a station for its new line in what year? ###Answer: {'answer':'1872'}
###Answer the question from the input provided. Please answer from input only. ###Input: Approximately one million Protestants in modern France represent some 2% of its population. Most are concentrated in Alsace in northeast France and the Cévennes mountain region in the south, who still regard themselves as Huguenots to this day.[citation needed] A diaspora of French Australians still considers itself Huguenot, even after centuries of exile. Long integrated into Australian society, it is encouraged by the Huguenot Society of Australia to embrace and conserve its cultural heritage, aided by the Society's genealogical research services. Huguenot immigrants did not disperse or settle in different parts of the country, but rather, formed three societies or congregations; one in the city of New York, another 21 miles north of New York in a town which they named New Rochelle, and a third further upstate in New Paltz. The "Huguenot Street Historic District" in New Paltz has been designated a National Historic Landmark site and contains the oldest street in the United States of America. A small group of Huguenots also settled on the south shore of Staten Island along the New York Harbor, for which the current neighborhood of Huguenot was named. After the revocation of the Edict of Nantes, the Dutch Republic received the largest group of Huguenot refugees, an estimated total of 75,000 to 100,000 people. Amongst them were 200 clergy. Many came from the region of the Cévennes, for instance, the village of Fraissinet-de-Lozère. This was a huge influx as the entire population of the Dutch Republic amounted to ca. 2 million at that time. Around 1700, it is estimated that nearly 25% of the Amsterdam population was Huguenot.[citation needed] In 1705, Amsterdam and the area of West Frisia were the first areas to provide full citizens rights to Huguenot immigrants, followed by the Dutch Republic in 1715. Huguenots intermarried with Dutch from the outset. In this last connection, the name could suggest the derogatory inference of superstitious worship; popular fancy held that Huguon, the gate of King Hugo, was haunted by the ghost of le roi Huguet (regarded by Roman Catholics as an infamous scoundrel) and other spirits, who instead of being in Purgatory came back to harm the living at night. It was in this place in Tours that the prétendus réformés ("these supposedly 'reformed'") habitually gathered at night, both for political purposes, and for prayer and singing psalms. Such explanations have been traced to the contemporary, Reguier de la Plancha (d. 1560), who in De l'Estat de France offered the following account as to the origin of the name, as cited by The Cape Monthly: Other evidence of the Walloons and Huguenots in Canterbury includes a block of houses in Turnagain Lane, where weavers' windows survive on the top floor, as many Huguenots worked as weavers. The Weavers, a half-timbered house by the river, was the site of a weaving school from the late 16th century to about 1830. (It has been adapted as a restaurant—see illustration above. The house derives its name from a weaving school which was moved there in the last years of the 19th century, reviving an earlier use.) Others refugees practised the variety of occupations necessary to sustain the community as distinct from the indigenous population. Such economic separation was the condition of the refugees' initial acceptance in the City. They also settled elsewhere in Kent, particularly Sandwich, Faversham and Maidstone—towns in which there used to be refugee churches. ###Question: How many protestants live in France today? ###Answer: {'answer':'one million'}
###Answer the question from the input provided. Please answer from input only. ###Input: Prior to European settlement, the area now constituting Victoria was inhabited by a large number of Aboriginal peoples, collectively known as the Koori. With Great Britain having claimed the entire Australian continent east of the 135th meridian east in 1788, Victoria was included in the wider colony of New South Wales. The first settlement in the area occurred in 1803 at Sullivan Bay, and much of what is now Victoria was included in the Port Phillip District in 1836, an administrative division of New South Wales. Victoria was officially created a separate colony in 1851, and achieved self-government in 1855. The Victorian gold rush in the 1850s and 1860s significantly increased both the population and wealth of the colony, and by the Federation of Australia in 1901, Melbourne had become the largest city and leading financial centre in Australasia. Melbourne also served as capital of Australia until the construction of Canberra in 1927, with the Federal Parliament meeting in Melbourne's Parliament House and all principal offices of the federal government being based in Melbourne. More than 26,000 square kilometres (10,000 sq mi) of Victorian farmland are sown for grain, mostly in the state's west. More than 50% of this area is sown for wheat, 33% for barley and 7% for oats. A further 6,000 square kilometres (2,300 sq mi) is sown for hay. In 2003–04, Victorian farmers produced more than 3 million tonnes of wheat and 2 million tonnes of barley. Victorian farms produce nearly 90% of Australian pears and third of apples. It is also a leader in stone fruit production. The main vegetable crops include asparagus, broccoli, carrots, potatoes and tomatoes. Last year, 121,200 tonnes of pears and 270,000 tonnes of tomatoes were produced. Victoria has a written constitution enacted in 1975, but based on the 1855 colonial constitution, passed by the United Kingdom Parliament as the Victoria Constitution Act 1855, which establishes the Parliament as the state's law-making body for matters coming under state responsibility. The Victorian Constitution can be amended by the Parliament of Victoria, except for certain "entrenched" provisions that require either an absolute majority in both houses, a three-fifths majority in both houses, or the approval of the Victorian people in a referendum, depending on the provision. The Mallee and upper Wimmera are Victoria's warmest regions with hot winds blowing from nearby semi-deserts. Average temperatures exceed 32 °C (90 °F) during summer and 15 °C (59 °F) in winter. Except at cool mountain elevations, the inland monthly temperatures are 2–7 °C (4–13 °F) warmer than around Melbourne (see chart). Victoria's highest maximum temperature since World War II, of 48.8 °C (119.8 °F) was recorded in Hopetoun on 7 February 2009, during the 2009 southeastern Australia heat wave. Victorian schools are either publicly or privately funded. Public schools, also known as state or government schools, are funded and run directly by the Victoria Department of Education . Students do not pay tuition fees, but some extra costs are levied. Private fee-paying schools include parish schools run by the Roman Catholic Church and independent schools similar to British public schools. Independent schools are usually affiliated with Protestant churches. Victoria also has several private Jewish and Islamic primary and secondary schools. Private schools also receive some public funding. All schools must comply with government-set curriculum standards. In addition, Victoria has four government selective schools, Melbourne High School for boys, MacRobertson Girls' High School for girls, the coeducational schools John Monash Science School, Nossal High School and Suzanne Cory High School, and The Victorian College of the Arts Secondary School. Students at these schools are exclusively admitted on the basis of an academic selective entry test. ###Question: What is the weather type of Mallee and upper Wimmera? ###Answer: {'answer':'warmest regions'}
###Answer the question from the input provided. Please answer from input only. ###Input: The first European to travel the length of the Amazon River was Francisco de Orellana in 1542. The BBC's Unnatural Histories presents evidence that Orellana, rather than exaggerating his claims as previously thought, was correct in his observations that a complex civilization was flourishing along the Amazon in the 1540s. It is believed that the civilization was later devastated by the spread of diseases from Europe, such as smallpox. Since the 1970s, numerous geoglyphs have been discovered on deforested land dating between AD 0–1250, furthering claims about Pre-Columbian civilizations. Ondemar Dias is accredited with first discovering the geoglyphs in 1977 and Alceu Ranzi with furthering their discovery after flying over Acre. The BBC's Unnatural Histories presented evidence that the Amazon rainforest, rather than being a pristine wilderness, has been shaped by man for at least 11,000 years through practices such as forest gardening and terra preta. Terra preta (black earth), which is distributed over large areas in the Amazon forest, is now widely accepted as a product of indigenous soil management. The development of this fertile soil allowed agriculture and silviculture in the previously hostile environment; meaning that large portions of the Amazon rainforest are probably the result of centuries of human management, rather than naturally occurring as has previously been supposed. In the region of the Xingu tribe, remains of some of these large settlements in the middle of the Amazon forest were found in 2003 by Michael Heckenberger and colleagues of the University of Florida. Among those were evidence of roads, bridges and large plazas. The region is home to about 2.5 million insect species, tens of thousands of plants, and some 2,000 birds and mammals. To date, at least 40,000 plant species, 2,200 fishes, 1,294 birds, 427 mammals, 428 amphibians, and 378 reptiles have been scientifically classified in the region. One in five of all the bird species in the world live in the rainforests of the Amazon, and one in five of the fish species live in Amazonian rivers and streams. Scientists have described between 96,660 and 128,843 invertebrate species in Brazil alone. The biodiversity of plant species is the highest on Earth with one 2001 study finding a quarter square kilometer (62 acres) of Ecuadorian rainforest supports more than 1,100 tree species. A study in 1999 found one square kilometer (247 acres) of Amazon rainforest can contain about 90,790 tonnes of living plants. The average plant biomass is estimated at 356 ± 47 tonnes per hectare. To date, an estimated 438,000 species of plants of economic and social interest have been registered in the region with many more remaining to be discovered or catalogued. The total number of tree species in the region is estimated at 16,000. The rainforest contains several species that can pose a hazard. Among the largest predatory creatures are the black caiman, jaguar, cougar, and anaconda. In the river, electric eels can produce an electric shock that can stun or kill, while piranha are known to bite and injure humans. Various species of poison dart frogs secrete lipophilic alkaloid toxins through their flesh. There are also numerous parasites and disease vectors. Vampire bats dwell in the rainforest and can spread the rabies virus. Malaria, yellow fever and Dengue fever can also be contracted in the Amazon region. ###Question: How many species of insects are known in the region? ###Answer: {'answer':'2.5 million'}
###Answer the question from the input provided. Please answer from input only. ###Input: Under the terms of the Scotland Act 1978, an elected assembly would be set up in Edinburgh provided that the majority of the Scottish electorate voted for it in a referendum to be held on 1 March 1979 that represented at least 40% of the total electorate. The 1979 Scottish devolution referendum to establish a devolved Scottish Assembly failed. Although the vote was 51.6% in favour of a Scottish Assembly, this figure did not equal the 40% of the total electorate threshold deemed necessary to pass the measure, as 32.9% of the eligible voting population did not, or had been unable to, vote. Throughout the 1980s and 1990s, demand for a Scottish Parliament grew, in part because the government of the United Kingdom was controlled by the Conservative Party, while Scotland itself elected relatively few Conservative MPs. In the aftermath of the 1979 referendum defeat, the Campaign for a Scottish Assembly was initiated as a pressure group, leading to the 1989 Scottish Constitutional Convention with various organisations such as Scottish churches, political parties and representatives of industry taking part. Publishing its blueprint for devolution in 1995, the Convention provided much of the basis for the structure of the Parliament. Since September 2004, the official home of the Scottish Parliament has been a new Scottish Parliament Building, in the Holyrood area of Edinburgh. The Scottish Parliament building was designed by Spanish architect Enric Miralles in partnership with local Edinburgh Architecture firm RMJM which was led by Design Principal Tony Kettle. Some of the principal features of the complex include leaf-shaped buildings, a grass-roofed branch merging into adjacent parkland and gabion walls formed from the stones of previous buildings. Throughout the building there are many repeated motifs, such as shapes based on Raeburn's Skating Minister. Crow-stepped gables and the upturned boat skylights of the Garden Lobby, complete the unique architecture. Queen Elizabeth II opened the new building on 9 October 2004. Whilst the permanent building at Holyrood was being constructed, the Parliament's temporary home was the General Assembly Hall of the Church of Scotland on the Royal Mile in Edinburgh. Official photographs and television interviews were held in the courtyard adjoining the Assembly Hall, which is part of the School of Divinity of the University of Edinburgh. This building was vacated twice to allow for the meeting of the Church's General Assembly. In May 2000, the Parliament was temporarily relocated to the former Strathclyde Regional Council debating chamber in Glasgow, and to the University of Aberdeen in May 2002. In addition to the General Assembly Hall, the Parliament also used buildings rented from the City of Edinburgh Council. The former administrative building of Lothian Regional Council on George IV Bridge was used for the MSP's offices. Following the move to Holyrood in 2004 this building was demolished. The former Midlothian County Buildings facing Parliament Square, High Street and George IV Bridge in Edinburgh (originally built as the headquarters of the pre-1975 Midlothian County Council) housed the Parliament's visitors' centre and shop, whilst the main hall was used as the Parliament's principal committee room. ###Question: What was the building vacated twice to allow for? ###Answer: {'answer':'meeting of the Church's General Assembly'}
###Answer the question from the input provided. Please answer from input only. ###Input: The outer surface bears usually eight comb rows, called swimming-plates, which are used for swimming. The rows are oriented to run from near the mouth (the "oral pole") to the opposite end (the "aboral pole"), and are spaced more or less evenly around the body, although spacing patterns vary by species and in most species the comb rows extend only part of the distance from the aboral pole towards the mouth. The "combs" (also called "ctenes" or "comb plates") run across each row, and each consists of thousands of unusually long cilia, up to 2 millimeters (0.079 in). Unlike conventional cilia and flagella, which has a filament structure arranged in a 9 + 2 pattern, these cilia are arranged in a 9 + 3 pattern, where the extra compact filament is suspected to have a supporting function. These normally beat so that the propulsion stroke is away from the mouth, although they can also reverse direction. Hence ctenophores usually swim in the direction in which the mouth is pointing, unlike jellyfish. When trying to escape predators, one species can accelerate to six times its normal speed; some other species reverse direction as part of their escape behavior, by reversing the power stroke of the comb plate cilia. It is uncertain how ctenophores control their buoyancy, but experiments have shown that some species rely on osmotic pressure to adapt to water of different densities. Their body fluids are normally as concentrated as seawater. If they enter less dense brackish water, the ciliary rosettes in the body cavity may pump this into the mesoglea to increase its bulk and decrease its density, to avoid sinking. Conversely if they move from brackish to full-strength seawater, the rosettes may pump water out of the mesoglea to reduce its volume and increase its density. The largest single sensory feature is the aboral organ (at the opposite end from the mouth). Its main component is a statocyst, a balance sensor consisting of a statolith, a solid particle supported on four bundles of cilia, called "balancers", that sense its orientation. The statocyst is protected by a transparent dome made of long, immobile cilia. A ctenophore does not automatically try to keep the statolith resting equally on all the balancers. Instead its response is determined by the animal's "mood", in other words the overall state of the nervous system. For example, if a ctenophore with trailing tentacles captures prey, it will often put some comb rows into reverse, spinning the mouth towards the prey. Cydippid ctenophores have bodies that are more or less rounded, sometimes nearly spherical and other times more cylindrical or egg-shaped; the common coastal "sea gooseberry," Pleurobrachia, sometimes has an egg-shaped body with the mouth at the narrow end, although some individuals are more uniformly round. From opposite sides of the body extends a pair of long, slender tentacles, each housed in a sheath into which it can be withdrawn. Some species of cydippids have bodies that are flattened to various extents, so that they are wider in the plane of the tentacles. The tentacles of cydippid ctenophores are typically fringed with tentilla ("little tentacles"), although a few genera have simple tentacles without these sidebranches. The tentacles and tentilla are densely covered with microscopic colloblasts that capture prey by sticking to it. Colloblasts are specialized mushroom-shaped cells in the outer layer of the epidermis, and have three main components: a domed head with vesicles (chambers) that contain adhesive; a stalk that anchors the cell in the lower layer of the epidermis or in the mesoglea; and a spiral thread that coils round the stalk and is attached to the head and to the root of the stalk. The function of the spiral thread is uncertain, but it may absorb stress when prey tries to escape, and thus prevent the collobast from being torn apart. In addition to colloblasts, members of the genus Haeckelia, which feed mainly on jellyfish, incorporate their victims' stinging nematocytes into their own tentacles – some cnidaria-eating nudibranchs similarly incorporate nematocytes into their bodies for defense. The tentilla of Euplokamis differ significantly from those of other cydippids: they contain striated muscle, a cell type otherwise unknown in the phylum Ctenophora; and they are coiled when relaxed, while the tentilla of all other known ctenophores elongate when relaxed. Euplokamis' tentilla have three types of movement that are used in capturing prey: they may flick out very quickly (in 40 to 60 milliseconds); they can wriggle, which may lure prey by behaving like small planktonic worms; and they coil round prey. The unique flicking is an uncoiling movement powered by contraction of the striated muscle. The wriggling motion is produced by smooth muscles, but of a highly specialized type. Coiling around prey is accomplished largely by the return of the tentilla to their inactive state, but the coils may be tightened by smooth muscle. ###Question: What is the largest sensory feature of the ctenophora? ###Answer: {'answer':'aboral organ'}
###Answer the question from the input provided. Please answer from input only. ###Input: Kenya is active in several sports, among them cricket, rallying, football, rugby union and boxing. The country is known chiefly for its dominance in middle-distance and long-distance athletics, having consistently produced Olympic and Commonwealth Games champions in various distance events, especially in 800 m, 1,500 m, 3,000 m steeplechase, 5,000 m, 10,000 m and the marathon. Kenyan athletes (particularly Kalenjin) continue to dominate the world of distance running, although competition from Morocco and Ethiopia has reduced this supremacy. Kenya's best-known athletes included the four-time women's Boston Marathon winner and two-time world champion Catherine Ndereba, 800m world record holder David Rudisha, former Marathon world record-holder Paul Tergat, and John Ngugi. Kenya won several medals during the Beijing Olympics, six gold, four silver and four bronze, making it Africa's most successful nation in the 2008 Olympics. New athletes gained attention, such as Pamela Jelimo, the women's 800m gold medalist who went ahead to win the IAAF Golden League jackpot, and Samuel Wanjiru who won the men's marathon. Retired Olympic and Commonwealth Games champion Kipchoge Keino helped usher in Kenya's ongoing distance dynasty in the 1970s and was followed by Commonwealth Champion Henry Rono's spectacular string of world record performances. Lately, there has been controversy in Kenyan athletics circles, with the defection of a number of Kenyan athletes to represent other countries, chiefly Bahrain and Qatar. The Kenyan Ministry of Sports has tried to stop the defections, but they have continued anyway, with Bernard Lagat the latest, choosing to represent the United States. Most of these defections occur because of economic or financial factors. Some elite Kenyan runners who cannot qualify for their country's strong national team find it easier to qualify by running for other countries.[citation needed] Kenya has been a dominant force in women's volleyball within Africa, with both the clubs and the national team winning various continental championships in the past decade.[citation needed] The women's team has competed at the Olympics and World Championships but without any notable success. Cricket is another popular and the most successful team sport. Kenya has competed in the Cricket World Cup since 1996. They upset some of the World's best teams and reached semi-finals of the 2003 tournament. They won the inaugural World Cricket League Division 1 hosted in Nairobi and participated in the World T20. Their current captain is Rakep Patel. They participated in the ICC Cricket World Cup 2011. Kenya is represented by Lucas Onyango as a professional rugby league player who plays with Oldham Roughyeds. Besides the former European Super League team, he has played for Widnes Vikings and rugby union with Sale Sharks. Rugby union is increasing in popularity, especially with the annual Safari Sevens tournament. Kenya sevens team ranked 9th in IRB Sevens World Series for the 2006 season. Kenya was also a regional powerhouse in soccer. However, its dominance has been eroded by wrangles within the now defunct Kenya Football Federation, leading to a suspension by FIFA which was lifted in March 2007. In the motor rallying arena, Kenya is home to the world famous Safari Rally, commonly acknowledged as one of the toughest rallies in the world. It was a part of the World Rally Championship for many years until its exclusion after the 2002 event owing to financial difficulties. Some of the best rally drivers in the world have taken part in and won the rally, such as Björn Waldegård, Hannu Mikkola, Tommi Mäkinen, Shekhar Mehta, Carlos Sainz and Colin McRae. Although the rally still runs annually as part of the Africa rally championship, the organisers are hoping to be allowed to rejoin the World Rally championship in the next couple of years. Kenyans generally have three meals in a day – breakfast in the morning (kiamsha kinywa), lunch in the afternoon (chakula cha mchana) and supper in the evening (chakula cha jioni or known simply as "chajio"). In between, they have the 10 o'clock tea (chai ya saa nne) and 4 pm tea (chai ya saa kumi). Breakfast is usually tea or porridge with bread, chapati, mahamri, boiled sweet potatoes or yams. Ugali with vegetables, sour milk, meat, fish or any other stew is generally eaten by much of the population for lunch or supper. Regional variations and dishes also exist. ###Question: How many meals a day do normal Kenyans eat? ###Answer: {'answer':'three meals in a day'}
###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: When did President Uhuru Kenyatta sign a Security Law Amendment Bill? ###Answer: {'answer':'December 2014'}
###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: What type of city has Warsaw been for as long as it's been a city? ###Answer: {'answer':'multi-cultural'}
###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 was Luther's major work of 60,000 words on the Jews? ###Answer: {'answer':'Von den Juden und Ihren Lügen'}
###Answer the question from the input provided. Please answer from input only. ###Input: In 2004, the V&A alongside Royal Institute of British Architects opened the first permanent gallery in the UK covering the history of architecture with displays using models, photographs, elements from buildings and original drawings. With the opening of the new gallery, the RIBA Drawings and Archives Collection has been transferred to the museum, joining the already extensive collection held by the V&A. With over 600,000 drawings, over 750,000 papers and paraphernalia, and over 700,000 photographs from around the world, together they form the world's most comprehensive architectural resource. Not only are all the major British architects of the last four hundred years represented, but many European (especially Italian) and American architects' drawings are held in the collection. The RIBA's holdings of over 330 drawings by Andrea Palladio are the largest in the world, other Europeans well represented are Jacques Gentilhatre and Antonio Visentini. British architects whose drawings, and in some cases models of their buildings, in the collection, include: Inigo Jones, Sir Christopher Wren, Sir John Vanbrugh, Nicholas Hawksmoor, William Kent, James Gibbs, Robert Adam, Sir William Chambers, James Wyatt, Henry Holland, John Nash, Sir John Soane, Sir Charles Barry, Charles Robert Cockerell, Augustus Welby Northmore Pugin, Sir George Gilbert Scott, John Loughborough Pearson, George Edmund Street, Richard Norman Shaw, Alfred Waterhouse, Sir Edwin Lutyens, Charles Rennie Mackintosh, Charles Holden, Frank Hoar, Lord Richard Rogers, Lord Norman Foster, Sir Nicholas Grimshaw, Zaha Hadid and Alick Horsnell. As well as period rooms, the collection includes parts of buildings, for example the two top stories of the facade of Sir Paul Pindar's house dated c1600 from Bishopsgate with elaborately carved wood work and leaded windows, a rare survivor of the Great Fire of London, there is a brick portal from a London house of the English Restoration period and a fireplace from the gallery of Northumberland house. European examples include a dormer window dated 1523–35 from the chateau of Montal. There are several examples from Italian Renaissance buildings including, portals, fireplaces, balconies and a stone buffet that used to have a built in fountain. The main architecture gallery has a series of pillars from various buildings and different periods, for example a column from the Alhambra. Examples covering Asia are in those galleries concerned with those countries, as well as models and photographs in the main architecture gallery. The V&A holds over 19,000 items from the Islamic world, ranging from the early Islamic period (the 7th century) to the early 20th century. The Jameel Gallery of Islamic Art, opened in 2006, houses a representative display of 400 objects with the highlight being the Ardabil Carpet, the centrepiece of the gallery. The displays in this gallery cover objects from Spain, North Africa, the Middle East, Central Asia and Afghanistan. A masterpiece of Islamic art is a 10th-century Rock crystal ewer. Many examples of Qur'āns with exquisite calligraphy dating from various periods are on display. A 15th-century minbar from a Cairo mosque with ivory forming complex geometrical patterns inlaid in wood is one of the larger objects on display. Extensive examples of ceramics especially Iznik pottery, glasswork including 14th-century lamps from mosques and metalwork are on display. The collection of Middle Eastern and Persian rugs and carpets is amongst the finest in the world, many were part of the Salting Bequest of 1909. Examples of tile work from various buildings including a fireplace dated 1731 from Istanbul made of intricately decorated blue and white tiles and turquoise tiles from the exterior of buildings from Samarkand are also displayed. The Museum's collections of South and South-East Asian art are the most comprehensive and important in the West comprising nearly 60,000 objects, including about 10,000 textiles and 6000 paintings, the range of the collection is immense. The Jawaharlal Nehru gallery of Indian art, opened in 1991, contains art from about 500 BC to the 19th century. There is an extensive collection of sculpture, mainly of a religious nature, Hindu, Buddhist and Jain. The gallery is richly endowed with art of the Mughal Empire and the Marathas, including fine portraits of the emperors and other paintings and drawings, jade wine cups and gold spoons inset with emeralds, diamonds and rubies, also from this period are parts of buildings such as a jaali and pillars. India was a large producer of textiles, from dyed cotton chintz, muslin to rich embroidery work using gold and silver thread, coloured sequins and beads is displayed, as are carpets from Agra and Lahore. Examples of clothing are also displayed. ###Question: The RIBA's drawing collection of what Italian architect is considered the largest in the world? ###Answer: {'answer':'Andrea Palladio'}
###Answer the question from the input provided. Please answer from input only. ###Input: In 2010, Newcastle was positioned ninth in the retail centre expenditure league of the UK. There are several major shopping areas in Newcastle City Centre. The largest of these is the Eldon Square Shopping Centre, one of the largest city centre shopping complexes in the UK. It incorporates a flagship Debenhams store as well as one of the largest John Lewis stores in the UK. John Lewis is still known to many in Newcastle as Bainbridges. Newcastle store Bainbridge's, opened in 1838, is often cited as the world’s first department store. Emerson Bainbridge (1817–1892), a pioneer and the founder of Bainbridges, sold goods via department, a new for merchant custom for that time. The Bainbridge’s official ledgers reported revenue by department, giving birth to the name department store. Eldon Square is currently undergoing a full redevelopment. A new bus station, replacing the old underground bus station, was officially opened in March 2007. The wing of the centre, including the undercover Green Market, near Grainger Street was demolished in 2007 so that the area could be redeveloped. This was completed in February 2010 with the opening of a flagship Debenhams department store as well as other major stores including Apple, Hollister and Guess. Other shopping destinations in Newcastle include Grainger Street and the area around Grey's Monument, the relatively modern Eldon Garden and Monument Mall complexes, the Newgate Centre, Central Arcade and the traditional Grainger Market. Outside the city centre, the largest suburban shopping areas are Gosforth and Byker. The largest Tesco store in the United Kingdom is located in Kingston Park on the edge of Newcastle. Close to Newcastle, the largest indoor shopping centre in Europe, the MetroCentre, is located in Gateshead. The Tyneside flat was the dominant housing form constructed at the time when the industrial centres on Tyneside were growing most rapidly. They can still be found in areas such as South Heaton in Newcastle but once dominated the streetscape on both sides of the Tyne. Tyneside flats were built as terraces, one of each pair of doors led to an upstairs flat while the other led into the ground-floor flat, each of two or three rooms. A new development in the Ouseburn valley has recreated them; Architects Cany Ash and Robert Sakula were attracted by the possibilities of high density without building high and getting rid of common areas. In terms of housing stock, the authority is one of few authorities to see the proportion of detached homes rise in the 2010 Census (to 7.8%), in this instance this was coupled with a similar rise in flats and waterside apartments to 25.6%, and the proportion of converted or shared houses in 2011 renders this dwelling type within the highest of the five colour-coded brackets at 5.9%, and on a par with Oxford and Reading, greater than Manchester and Liverpool and below a handful of historic densely occupied, arguably overinflated markets in the local authorities: Harrogate, Cheltenham, Bath, inner London, Hastings, Brighton and Tunbridge Wells. According to the UK Government's returned 2001 census information, the city of Newcastle had a population of 189,863, whereas the metropolitan borough of Newcastle had a population of around 259,000. Newcastle has a population of 282,442 according to the Office for National Statistics. The metropolitan boroughs of North Tyneside (population circa 201,000), South Tyneside (population circa 148,000) and Gateshead (population circa 201,000) are, along with Newcastle, all part of the Tyneside conurbation (population circa 880,000). The metropolitan county of Tyne and Wear, which consists of the four aforementioned boroughs as well as the City of Sunderland (population circa 275,000), had a population of around 1,076,000 and the Tyne and Wear City Region which also includes North Durham, South East Northumberland and the Tyne Valley has a population of 1,650,000. Newcastle is also home to a large student population with Newcastle and Northumbria Universities in the local area. Areas with predominant student populations include Jesmond and Heaton. ###Question: The population of Newcastle was 189,863 according to what year's census? ###Answer: {'answer':'2001'}
###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: How much money did John Jacob Astor IV provide Tesla with? ###Answer: {'answer':'$100,000'}
###Answer the question from the input provided. Please answer from input only. ###Input: A procedural consequence of the establishment of the Scottish Parliament is that Scottish MPs sitting in the UK House of Commons are able to vote on domestic legislation that applies only to England, Wales and Northern Ireland – whilst English, Scottish, Welsh and Northern Irish Westminster MPs are unable to vote on the domestic legislation of the Scottish Parliament. This phenomenon is known as the West Lothian question and has led to criticism. Following the Conservative victory in the 2015 UK election, standing orders of the House of Commons were changed to give MPs representing English constituencies a new "veto" over laws only affecting England. Islamism, also known as Political Islam (Arabic: إسلام سياسي‎ islām siyāsī), is an Islamic revival movement often characterized by moral conservatism, literalism, and the attempt "to implement Islamic values in all spheres of life." Islamism favors the reordering of government and society in accordance with the Shari'a. The different Islamist movements have been described as "oscillating between two poles": at one end is a strategy of Islamization of society through state power seized by revolution or invasion; at the other "reformist" pole Islamists work to Islamize society gradually "from the bottom up". The movements have "arguably altered the Middle East more than any trend since the modern states gained independence", redefining "politics and even borders" according to one journalist (Robin Wright). Moderate and reformist Islamists who accept and work within the democratic process include parties like the Tunisian Ennahda Movement. Jamaat-e-Islami of Pakistan is basically a socio-political and democratic Vanguard party but has also gained political influence through military coup d'état in past. The Islamist groups like Hezbollah in Lebanon and Hamas in Palestine participate in democratic and political process as well as armed attacks, seeking to abolish the state of Israel. Radical Islamist organizations like al-Qaeda and the Egyptian Islamic Jihad, and groups such as the Taliban, entirely reject democracy, often declaring as kuffar those Muslims who support it (see takfirism), as well as calling for violent/offensive jihad or urging and conducting attacks on a religious basis. Another major division within Islamism is between what Graham E. Fuller has described as the fundamentalist "guardians of the tradition" (Salafis, such as those in the Wahhabi movement) and the "vanguard of change and Islamic reform" centered around the Muslim Brotherhood. Olivier Roy argues that "Sunni pan-Islamism underwent a remarkable shift in the second half of the 20th century" when the Muslim Brotherhood movement and its focus on Islamisation of pan-Arabism was eclipsed by the Salafi movement with its emphasis on "sharia rather than the building of Islamic institutions," and rejection of Shia Islam. Following the Arab Spring, Roy has described Islamism as "increasingly interdependent" with democracy in much of the Arab Muslim world, such that "neither can now survive without the other." While Islamist political culture itself may not be democratic, Islamists need democratic elections to maintain their legitimacy. At the same time, their popularity is such that no government can call itself democratic that excludes mainstream Islamist groups. Islamism is a controversial concept not just because it posits a political role for Islam but also because its supporters believe their views merely reflect Islam, while the contrary idea that Islam is, or can be, apolitical is an error. Scholars and observers who do not believe that Islam is merely a political ideology include Fred Halliday, John Esposito and Muslim intellectuals like Javed Ahmad Ghamidi. Hayri Abaza argues the failure to distinguish between Islam and Islamism leads many in the West to support illiberal Islamic regimes, to the detriment of progressive moderates who seek to separate religion from politics. ###Question: What type of role that Islamism seeks makes it a somewhat controversial concept? ###Answer: {'answer':'political'}
###Answer the question from the input provided. Please answer from input only. ###Input: Where school class sizes are typically 40 to 50 students, maintaining order in the classroom can divert the teacher from instruction, leaving little opportunity for concentration and focus on what is being taught. In response, teachers may concentrate their attention on motivated students, ignoring attention-seeking and disruptive students. The result of this is that motivated students, facing demanding university entrance examinations, receive disproportionate resources. Given the emphasis on attainment of university places, administrators and governors may regard this policy as appropriate. Sudbury model democratic schools claim that popularly based authority can maintain order more effectively than dictatorial authority for governments and schools alike. They also claim that in these schools the preservation of public order is easier and more efficient than anywhere else. Primarily because rules and regulations are made by the community as a whole, thence the school atmosphere is one of persuasion and negotiation, rather than confrontation since there is no one to confront. Sudbury model democratic schools' proponents argue that a school that has good, clear laws, fairly and democratically passed by the entire school community, and a good judicial system for enforcing these laws, is a school in which community discipline prevails, and in which an increasingly sophisticated concept of law and order develops, against other schools today, where rules are arbitrary, authority is absolute, punishment is capricious, and due process of law is unknown. Since teachers can affect how students perceive the course materials, it has been found that teachers who showed enthusiasm towards the course materials and students can affect a positive learning experience towards the course materials. On teacher/course evaluations, it was found that teachers who have a positive disposition towards the course content tend to transfer their passion to receptive students. These teachers do not teach by rote but attempt to find new invigoration for the course materials on a daily basis. One of the difficulties in this approach is that teachers may have repeatedly covered a curriculum until they begin to feel bored with the subject which in turn bores the students as well. Students who had enthusiastic teachers tend to rate them higher than teachers who didn't show much enthusiasm for the course materials. Teachers that exhibit enthusiasm can lead to students who are more likely to be engaged, interested, energetic, and curious about learning the subject matter. Recent research has found a correlation between teacher enthusiasm and students' intrinsic motivation to learn and vitality in the classroom. Controlled, experimental studies exploring intrinsic motivation of college students has shown that nonverbal expressions of enthusiasm, such as demonstrative gesturing, dramatic movements which are varied, and emotional facial expressions, result in college students reporting higher levels of intrinsic motivation to learn. Students who experienced a very enthusiastic teacher were more likely to read lecture material outside of the classroom. There are various mechanisms by which teacher enthusiasm may facilitate higher levels of intrinsic motivation. Teacher enthusiasm may contribute to a classroom atmosphere full of energy and enthusiasm which feed student interest and excitement in learning the subject matter. Enthusiastic teachers may also lead to students becoming more self-determined in their own learning process. The concept of mere exposure indicates that the teacher's enthusiasm may contribute to the student's expectations about intrinsic motivation in the context of learning. Also, enthusiasm may act as a "motivational embellishment"; increasing a student's interest by the variety, novelty, and surprise of the enthusiastic teacher's presentation of the material. Finally, the concept of emotional contagion, may also apply. Students may become more intrinsically motivated by catching onto the enthusiasm and energy of the teacher.[citation needed] ###Question: What increases student's motivation to learn? ###Answer: {'answer':'teacher enthusiasm'}
###Answer the question from the input provided. Please answer from input only. ###Input: Oxygen was discovered independently by Carl Wilhelm Scheele, in Uppsala, in 1773 or earlier, and Joseph Priestley in Wiltshire, in 1774, but Priestley is often given priority because his work was published first. The name oxygen was coined in 1777 by Antoine Lavoisier, whose experiments with oxygen helped to discredit the then-popular phlogiston theory of combustion and corrosion. Its name derives from the Greek roots ὀξύς oxys, "acid", literally "sharp", referring to the sour taste of acids and -γενής -genes, "producer", literally "begetter", because at the time of naming, it was mistakenly thought that all acids required oxygen in their composition. Common uses of oxygen includes the production cycle of steel, plastics and textiles, brazing, welding and cutting of steels and other metals, rocket propellant, in oxygen therapy and life support systems in aircraft, submarines, spaceflight and diving. This combination of cancellations and σ and π overlaps results in dioxygen's double bond character and reactivity, and a triplet electronic ground state. An electron configuration with two unpaired electrons as found in dioxygen (see the filled π* orbitals in the diagram), orbitals that are of equal energy—i.e., degenerate—is a configuration termed a spin triplet state. Hence, the ground state of the O 2 molecule is referred to as triplet oxygen.[b] The highest energy, partially filled orbitals are antibonding, and so their filling weakens the bond order from three to two. Because of its unpaired electrons, triplet oxygen reacts only slowly with most organic molecules, which have paired electron spins; this prevents spontaneous combustion. In one experiment, Lavoisier observed that there was no overall increase in weight when tin and air were heated in a closed container. He noted that air rushed in when he opened the container, which indicated that part of the trapped air had been consumed. He also noted that the tin had increased in weight and that increase was the same as the weight of the air that rushed back in. This and other experiments on combustion were documented in his book Sur la combustion en général, which was published in 1777. In that work, he proved that air is a mixture of two gases; 'vital air', which is essential to combustion and respiration, and azote (Gk. ἄζωτον "lifeless"), which did not support either. Azote later became nitrogen in English, although it has kept the name in French and several other European languages. Trioxygen (O 3) is usually known as ozone and is a very reactive allotrope of oxygen that is damaging to lung tissue. Ozone is produced in the upper atmosphere when O 2 combines with atomic oxygen made by the splitting of O 2 by ultraviolet (UV) radiation. Since ozone absorbs strongly in the UV region of the spectrum, the ozone layer of the upper atmosphere functions as a protective radiation shield for the planet. Near the Earth's surface, it is a pollutant formed as a by-product of automobile exhaust. The metastable molecule tetraoxygen (O 4) was discovered in 2001, and was assumed to exist in one of the six phases of solid oxygen. It was proven in 2006 that this phase, created by pressurizing O 2 to 20 GPa, is in fact a rhombohedral O 8 cluster. This cluster has the potential to be a much more powerful oxidizer than either O 2 or O 3 and may therefore be used in rocket fuel. A metallic phase was discovered in 1990 when solid oxygen is subjected to a pressure of above 96 GPa and it was shown in 1998 that at very low temperatures, this phase becomes superconducting. The common allotrope of elemental oxygen on Earth is called dioxygen, O 2. It is the form that is a major part of the Earth's atmosphere (see Occurrence). O2 has a bond length of 121 pm and a bond energy of 498 kJ·mol−1, which is smaller than the energy of other double bonds or pairs of single bonds in the biosphere and responsible for the exothermic reaction of O2 with any organic molecule. Due to its energy content, O2 is used by complex forms of life, such as animals, in cellular respiration (see Biological role). Other aspects of O 2 are covered in the remainder of this article. ###Question: What is the most common form of oxygen on the planet? ###Answer: {'answer':'dioxygen'}
###Answer the question from the input provided. Please answer from input only. ###Input: In late 1886 Tesla met Alfred S. Brown, a Western Union superintendent, and New York attorney Charles F. Peck. The two men were experienced in setting up companies and promoting inventions and patents for financial gain. Based on Tesla's patents and other ideas they agreed to back him financially and handle his patents. Together in April 1887 they formed the Tesla Electric Company with an agreement that profits from generated patents would go ⅓ to Tesla, ⅓ to Peck and Brown, and ⅓ to fund development. They set up a laboratory for Tesla at 89 Liberty Street in Manhattan where he worked on improving and developing new types of electric motors, generators and other devices. One of the things Tesla developed at that laboratory in 1887 was an induction motor that ran on alternating current, a power system format that was starting to be built in Europe and the United States because of its advantages in long-distance, high-voltage transmission. The motor used polyphase current which generated a rotating magnetic field to turn the motor (a principle Tesla claimed to have conceived in 1882). This innovative electric motor, patented in May 1888, was a simple self-starting design that did not need a commutator, thus avoiding sparking and the high maintenance of constantly servicing and replacing mechanical brushes. In 1888, the editor of Electrical World magazine, Thomas Commerford Martin (a friend and publicist), arranged for Tesla to demonstrate his alternating current system, including his induction motor, at the American Institute of Electrical Engineers (now IEEE). Engineers working for the Westinghouse Electric & Manufacturing Company reported to George Westinghouse that Tesla had a viable AC motor and related power system — something for which Westinghouse had been trying to secure patents. Westinghouse looked into getting a patent on a similar commutator-less, rotating magnetic field-based induction motor presented in a paper in March 1888 by the Italian physicist Galileo Ferraris, but decided Tesla's patent would probably control the market. In July 1888, Brown and Peck negotiated a licensing deal with George Westinghouse for Tesla's polyphase induction motor and transformer designs for $60,000 in cash and stock and a royalty of $2.50 per AC horsepower produced by each motor. Westinghouse also hired Tesla for one year for the large fee of $2,000 ($52,700 in today's dollars) per month to be a consultant at the Westinghouse Electric & Manufacturing Company's Pittsburgh labs. During that year, Tesla worked in Pittsburgh, helping to create an alternating current system to power the city's streetcars. He found the time there frustrating because of conflicts between him and the other Westinghouse engineers over how best to implement AC power. Between them, they settled on a 60-cycle AC current system Tesla proposed (to match the working frequency of Tesla's motor), although they soon found that, since Tesla's induction motor could only run at a constant speed, it would not work for street cars. They ended up using a DC traction motor instead. ###Question: Who was Thomas Commerford Martin? ###Answer: {'answer':'editor of Electrical World magazine'}
###Answer the question from the input provided. Please answer from input only. ###Input: According to PolitiFact the top 400 richest Americans "have more wealth than half of all Americans combined." According to the New York Times on July 22, 2014, the "richest 1 percent in the United States now own more wealth than the bottom 90 percent". Inherited wealth may help explain why many Americans who have become rich may have had a "substantial head start". In September 2012, according to the Institute for Policy Studies, "over 60 percent" of the Forbes richest 400 Americans "grew up in substantial privilege". Neoclassical economics views inequalities in the distribution of income as arising from differences in value added by labor, capital and land. Within labor income distribution is due to differences in value added by different classifications of workers. In this perspective, wages and profits are determined by the marginal value added of each economic actor (worker, capitalist/business owner, landlord). Thus, in a market economy, inequality is a reflection of the productivity gap between highly-paid professions and lower-paid professions. In Marxian analysis, capitalist firms increasingly substitute capital equipment for labor inputs (workers) under competitive pressure to reduce costs and maximize profits. Over the long-term, this trend increases the organic composition of capital, meaning that less workers are required in proportion to capital inputs, increasing unemployment (the "reserve army of labour"). This process exerts a downward pressure on wages. The substitution of capital equipment for labor (mechanization and automation) raises the productivity of each worker, resulting in a situation of relatively stagnant wages for the working class amidst rising levels of property income for the capitalist class. In a purely capitalist mode of production (i.e. where professional and labor organizations cannot limit the number of workers) the workers wages will not be controlled by these organizations, or by the employer, but rather by the market. Wages work in the same way as prices for any other good. Thus, wages can be considered as a function of market price of skill. And therefore, inequality is driven by this price. Under the law of supply and demand, the price of skill is determined by a race between the demand for the skilled worker and the supply of the skilled worker. "On the other hand, markets can also concentrate wealth, pass environmental costs on to society, and abuse workers and consumers." "Markets, by themselves, even when they are stable, often lead to high levels of inequality, outcomes that are widely viewed as unfair." Employers who offer a below market wage will find that their business is chronically understaffed. Their competitors will take advantage of the situation by offering a higher wage the best of their labor. For a businessman who has the profit motive as the prime interest, it is a losing proposition to offer below or above market wages to workers. A job where there are many workers willing to work a large amount of time (high supply) competing for a job that few require (low demand) will result in a low wage for that job. This is because competition between workers drives down the wage. An example of this would be jobs such as dish-washing or customer service. Competition amongst workers tends to drive down wages due to the expendable nature of the worker in relation to his or her particular job. A job where there are few able or willing workers (low supply), but a large need for the positions (high demand), will result in high wages for that job. This is because competition between employers for employees will drive up the wage. Examples of this would include jobs that require highly developed skills, rare abilities, or a high level of risk. Competition amongst employers tends to drive up wages due to the nature of the job, since there is a relative shortage of workers for the particular position. Professional and labor organizations may limit the supply of workers which results in higher demand and greater incomes for members. Members may also receive higher wages through collective bargaining, political influence, or corruption. ###Question: What has the tendency to increase wages in a field or job position? ###Answer: {'answer':'Competition amongst workers'}
###Answer the question from the input provided. Please answer from input only. ###Input: Following the French Crown's revocation of the Edict of Nantes, many Huguenots settled in Ireland in the late 17th and early 18th centuries, encouraged by an act of parliament for Protestants' settling in Ireland. Huguenot regiments fought for William of Orange in the Williamite war in Ireland, for which they were rewarded with land grants and titles, many settling in Dublin. Significant Huguenot settlements were in Dublin, Cork, Portarlington, Lisburn, Waterford and Youghal. Smaller settlements, which included Killeshandra in County Cavan, contributed to the expansion of flax cultivation and the growth of the Irish linen industry. Prince Louis de Condé, along with his sons Daniel and Osias,[citation needed] arranged with Count Ludwig von Nassau-Saarbrücken to establish a Huguenot community in present-day Saarland in 1604. The Count supported mercantilism and welcomed technically skilled immigrants into his lands, regardless of their religion. The Condés established a thriving glass-making works, which provided wealth to the principality for many years. Other founding families created enterprises based on textiles and such traditional Huguenot occupations in France. The community and its congregation remain active to this day, with descendants of many of the founding families still living in the region. Some members of this community emigrated to the United States in the 1890s. The bulk of Huguenot émigrés relocated to Protestant European nations such as England, Wales, Scotland, Denmark, Sweden, Switzerland, the Dutch Republic, the Electorate of Brandenburg and Electorate of the Palatinate in the Holy Roman Empire, the Duchy of Prussia, the Channel Islands, and Ireland. They also spread beyond Europe to the Dutch Cape Colony in South Africa, the Dutch East Indies, the Caribbean, and several of the English colonies of North America, and Quebec, where they were accepted and allowed to worship freely. Some disagree with such double or triple non-French linguistic origins, arguing that for the word to have spread into common use in France, it must have originated in the French language. The "Hugues hypothesis" argues that the name was derived by association with Hugues Capet, king of France, who reigned long before the Reformation. He was regarded by the Gallicans and Protestants as a noble man who respected people's dignity and lives. Janet Gray and other supporters of the hypothesis suggest that the name huguenote would be roughly equivalent to little Hugos, or those who want Hugo. Other predecessors of the Reformed church included the pro-reform and Gallican Roman Catholics, such as Jacques Lefevre (c. 1455–1536). The Gallicans briefly achieved independence for the French church, on the principle that the religion of France could not be controlled by the Bishop of Rome, a foreign power. During the Protestant Reformation, Lefevre, a professor at the University of Paris, published his French translation of the New Testament in 1523, followed by the whole Bible in the French language in 1530. William Farel was a student of Lefevre who went on to become a leader of the Swiss Reformation, establishing a Protestant government in Geneva. Jean Cauvin (John Calvin), another student at the University of Paris, also converted to Protestantism. Long after the sect was suppressed by Francis I, the remaining French Waldensians, then mostly in the Luberon region, sought to join William Farel, Calvin and the Reformation, and Olivetan published a French Bible for them. The French Confession of 1559 shows a decidedly Calvinistic influence. Sometime between 1550 and 1580, members of the Reformed church in France came to be commonly known as Huguenots.[citation needed] ###Question: What two member nations of the Holy Roman Empire received Huguenot refugees? ###Answer: {'answer':'Electorate of Brandenburg and Electorate of the Palatinate'}
###Answer the question from the input provided. Please answer from input only. ###Input: John Schmitt and Ben Zipperer (2006) of the CEPR point to economic liberalism and the reduction of business regulation along with the decline of union membership as one of the causes of economic inequality. In an analysis of the effects of intensive Anglo-American liberal policies in comparison to continental European liberalism, where unions have remained strong, they concluded "The U.S. economic and social model is associated with substantial levels of social exclusion, including high levels of income inequality, high relative and absolute poverty rates, poor and unequal educational outcomes, poor health outcomes, and high rates of crime and incarceration. At the same time, the available evidence provides little support for the view that U.S.-style labor-market flexibility dramatically improves labor-market outcomes. Despite popular prejudices to the contrary, the U.S. economy consistently affords a lower level of economic mobility than all the continental European countries for which data is available." Sociologist Jake Rosenfield of the University of Washington asserts that the decline of organized labor in the United States has played a more significant role in expanding the income gap than technological changes and globalization, which were also experienced by other industrialized nations that didn't experience steep surges in inequality. He points out that nations with high rates of unionization, particularly in Scandinavia, have very low levels of inequality, and concludes "the historical pattern is clear; the cross-national pattern is clear: high inequality goes hand-in-hand with weak labor movements and vice-versa." Trade liberalization may shift economic inequality from a global to a domestic scale. When rich countries trade with poor countries, the low-skilled workers in the rich countries may see reduced wages as a result of the competition, while low-skilled workers in the poor countries may see increased wages. Trade economist Paul Krugman estimates that trade liberalisation has had a measurable effect on the rising inequality in the United States. He attributes this trend to increased trade with poor countries and the fragmentation of the means of production, resulting in low skilled jobs becoming more tradeable. However, he concedes that the effect of trade on inequality in America is minor when compared to other causes, such as technological innovation, a view shared by other experts. Empirical economists Max Roser and Jesus Crespo-Cuaresma find support in the data that international trade is increasing income inequality. They empirically confirm the predictions of the Stolper–Samuelson theorem regarding the effects of international trade on the distribution of incomes. Lawrence Katz estimates that trade has only accounted for 5-15% of rising income inequality. Robert Lawrence argues that technological innovation and automation has meant that low-skilled jobs have been replaced by machine labor in wealthier nations, and that wealthier countries no longer have significant numbers of low-skilled manufacturing workers that could be affected by competition from poor countries. In many countries, there is a Gender pay gap in favor of males in the labor market. Several factors other than discrimination may contribute to this gap. On average, women are more likely than men to consider factors other than pay when looking for work, and may be less willing to travel or relocate. Thomas Sowell, in his book Knowledge and Decisions, claims that this difference is due to women not taking jobs due to marriage or pregnancy, but income studies show that that does not explain the entire difference. A U.S. Census's report stated that in US once other factors are accounted for there is still a difference in earnings between women and men. The income gap in other countries ranges from 53% in Botswana to -40% in Bahrain. Economist Simon Kuznets argued that levels of economic inequality are in large part the result of stages of development. According to Kuznets, countries with low levels of development have relatively equal distributions of wealth. As a country develops, it acquires more capital, which leads to the owners of this capital having more wealth and income and introducing inequality. Eventually, through various possible redistribution mechanisms such as social welfare programs, more developed countries move back to lower levels of inequality. ###Question: What types of organizations are on a decline in the US which adversely effects economic mobility? ###Answer: {'answer':'unions'}
###Answer the question from the input provided. Please answer from input only. ###Input: Ctenophora (/tᵻˈnɒfərə/; singular ctenophore, /ˈtɛnəfɔːr/ or /ˈtiːnəfɔːr/; from the Greek κτείς kteis 'comb' and φέρω pherō 'carry'; commonly known as comb jellies) is a phylum of animals that live in marine waters worldwide. Their most distinctive feature is the ‘combs’ – groups of cilia which they use for swimming – they are the largest animals that swim by means of cilia. Adults of various species range from a few millimeters to 1.5 m (4 ft 11 in) in size. Like cnidarians, their bodies consist of a mass of jelly, with one layer of cells on the outside and another lining the internal cavity. In ctenophores, these layers are two cells deep, while those in cnidarians are only one cell deep. Some authors combined ctenophores and cnidarians in one phylum, Coelenterata, as both groups rely on water flow through the body cavity for both digestion and respiration. Increasing awareness of the differences persuaded more recent authors to classify them as separate phyla. Almost all ctenophores are predators, taking prey ranging from microscopic larvae and rotifers to the adults of small crustaceans; the exceptions are juveniles of two species, which live as parasites on the salps on which adults of their species feed. In favorable circumstances, ctenophores can eat ten times their own weight in a day. Only 100–150 species have been validated, and possibly another 25 have not been fully described and named. The textbook examples are cydippids with egg-shaped bodies and a pair of retractable tentacles fringed with tentilla ("little tentacles") that are covered with colloblasts, sticky cells that capture prey. The phylum has a wide range of body forms, including the flattened, deep-sea platyctenids, in which the adults of most species lack combs, and the coastal beroids, which lack tentacles and prey on other ctenophores by using huge mouths armed with groups of large, stiffened cilia that act as teeth. These variations enable different species to build huge populations in the same area, because they specialize in different types of prey, which they capture by as wide a range of methods as spiders use. Most species are hermaphrodites—a single animal can produce both eggs and sperm, meaning it can fertilize its own egg, not needing a mate. Some are simultaneous hermaphrodites, which can produce both eggs and sperm at the same time. Others are sequential hermaphrodites, in which the eggs and sperm mature at different times. Fertilization is generally external, although platyctenids' eggs are fertilized inside their parents' bodies and kept there until they hatch. The young are generally planktonic and in most species look like miniature cydippids, gradually changing into their adult shapes as they grow. The exceptions are the beroids, whose young are miniature beroids with large mouths and no tentacles, and the platyctenids, whose young live as cydippid-like plankton until they reach near-adult size, but then sink to the bottom and rapidly metamorphose into the adult form. In at least some species, juveniles are capable of reproduction before reaching the adult size and shape. The combination of hermaphroditism and early reproduction enables small populations to grow at an explosive rate. Ctenophores may be abundant during the summer months in some coastal locations, but in other places they are uncommon and difficult to find. In bays where they occur in very high numbers, predation by ctenophores may control the populations of small zooplanktonic organisms such as copepods, which might otherwise wipe out the phytoplankton (planktonic plants), which are a vital part of marine food chains. One ctenophore, Mnemiopsis, has accidentally been introduced into the Black Sea, where it is blamed for causing fish stocks to collapse by eating both fish larvae and organisms that would otherwise have fed the fish. The situation was aggravated by other factors, such as over-fishing and long-term environmental changes that promoted the growth of the Mnemiopsis population. The later accidental introduction of Beroe helped to mitigate the problem, as Beroe preys on other ctenophores. Despite their soft, gelatinous bodies, fossils thought to represent ctenophores, apparently with no tentacles but many more comb-rows than modern forms, have been found in lagerstätten as far back as the early Cambrian, about 515 million years ago. The position of the ctenophores in the evolutionary family tree of animals has long been debated, and the majority view at present, based on molecular phylogenetics, is that cnidarians and bilaterians are more closely related to each other than either is to ctenophores. A recent molecular phylogenetics analysis concluded that the common ancestor of all modern ctenophores was cydippid-like, and that all the modern groups appeared relatively recently, probably after the Cretaceous–Paleogene extinction event 66 million years ago. Evidence accumulating since the 1980s indicates that the "cydippids" are not monophyletic, in other words do not include all and only the descendants of a single common ancestor, because all the other traditional ctenophore groups are descendants of various cydippids. ###Question: What gender are most species of Ctenophores? ###Answer: {'answer':'Most species are hermaphrodites'}
###Answer the question from the input provided. Please answer from input only. ###Input: In addition to the Vince Lombardi Trophy that all Super Bowl champions receive, the winner of Super Bowl 50 will also receive a large, 18-karat gold-plated "50". Each digit will weigh 33 lb (15 kg) for a total of 66 lb (30 kg). Like the Lombardi Trophy, the "50" will be designed by Tiffany & Co. In the United States, the game was televised by CBS, as part of a cycle between the three main broadcast television partners of the NFL. The network's lead broadcast team of Jim Nantz and Phil Simms called the contest, with Tracy Wolfson and Evan Washburn on the sidelines. CBS introduced new features during the telecast, including pylon cameras and microphones along with EyeVision 360—an array of 36 cameras along the upper deck that can be used to provide a 360-degree view of plays and "bullet time" effects. (An earlier version of EyeVision was last used in Super Bowl XXXV; for Super Bowl 50, the cameras were upgraded to 5K resolution.) On December 28, 2015, ESPN Deportes announced that they had reached an agreement with CBS and the NFL to be the exclusive Spanish-language broadcaster of the game, marking the third dedicated Spanish-language broadcast of the Super Bowl. Unlike NBC and Fox, CBS does not have a Spanish-language outlet of its own that could broadcast the game (though per league policy, a separate Spanish play-by-play call was carried on CBS's second audio program channel for over-the-air viewers). The game was called by ESPN Deportes' Monday Night Football commentary crew of Alvaro Martin and Raul Allegre, and sideline reporter John Sutcliffe. ESPN Deportes broadcast pre-game and post-game coverage, while Martin, Allegre, and Sutcliffe contributed English-language reports for ESPN's SportsCenter and Mike & Mike. CBS provided digital streams of the game via CBSSports.com, and the CBS Sports apps on tablets, Windows 10, Xbox One and other digital media players (such as Chromecast and Roku). Due to Verizon Communications exclusivity, streaming on smartphones was only provided to Verizon Wireless customers via the NFL Mobile service. The ESPN Deportes Spanish broadcast was made available through WatchESPN. As opposed to broadcasts of primetime series, CBS broadcast special episodes of its late night talk shows as its lead-out programs for Super Bowl 50, beginning with a special episode of The Late Show with Stephen Colbert following the game. Following a break for late local programming, CBS also aired a special episode of The Late Late Show with James Corden. ###Question: Who is the trophy given to the Super Bowl champion named for? ###Answer: {'answer':'Vince Lombardi'}
###Answer the question from the input provided. Please answer from input only. ###Input: Often rules apply to all goods neutrally, but may have a greater practical effect on imports than domestic products. For such "indirect" discriminatory (or "indistinctly applicable") measures the Court of Justice has developed more justifications: either those in article 36, or additional "mandatory" or "overriding" requirements such as consumer protection, improving labour standards, protecting the environment, press diversity, fairness in commerce, and more: the categories are not closed. In the most famous case Rewe-Zentral AG v Bundesmonopol für Branntwein, the Court of Justice found that a German law requiring all spirits and liqueurs (not just imported ones) to have a minimum alcohol content of 25 per cent was contrary to TFEU article 34, because it had a greater negative effect on imports. German liqueurs were over 25 per cent alcohol, but Cassis de Dijon, which Rewe-Zentrale AG wished to import from France, only had 15 to 20 per cent alcohol. The Court of Justice rejected the German government's arguments that the measure proportionately protected public health under TFEU article 36, because stronger beverages were available and adequate labelling would be enough for consumers to understand what they bought. This rule primarily applies to requirements about a product's content or packaging. In Walter Rau Lebensmittelwerke v De Smedt PVBA the Court of Justice found that a Belgian law requiring all margarine to be in cube shaped packages infringed article 34, and was not justified by the pursuit of consumer protection. The argument that Belgians would believe it was butter if it was not cube shaped was disproportionate: it would "considerably exceed the requirements of the object in view" and labelling would protect consumers "just as effectively". In a 2003 case, Commission v Italy Italian law required that cocoa products that included other vegetable fats could not be labelled as "chocolate". It had to be "chocolate substitute". All Italian chocolate was made from cocoa butter alone, but British, Danish and Irish manufacturers used other vegetable fats. They claimed the law infringed article 34. The Court of Justice held that a low content of vegetable fat did not justify a "chocolate substitute" label. This was derogatory in the consumers' eyes. A ‘neutral and objective statement’ was enough to protect consumers. If member states place considerable obstacles on the use of a product, this can also infringe article 34. So, in a 2009 case, Commission v Italy, the Court of Justice held that an Italian law prohibiting motorcycles or mopeds pulling trailers infringed article 34. Again, the law applied neutrally to everyone, but disproportionately affected importers, because Italian companies did not make trailers. This was not a product requirement, but the Court reasoned that the prohibition would deter people from buying it: it would have "a considerable influence on the behaviour of consumers" that "affects the access of that product to the market". It would require justification under article 36, or as a mandatory requirement. In contrast to product requirements or other laws that hinder market access, the Court of Justice developed a presumption that "selling arrangements" would be presumed to not fall into TFEU article 34, if they applied equally to all sellers, and affected them in the same manner in fact. In Keck and Mithouard two importers claimed that their prosecution under a French competition law, which prevented them selling Picon beer under wholesale price, was unlawful. The aim of the law was to prevent cut throat competition, not to hinder trade. The Court of Justice held, as "in law and in fact" it was an equally applicable "selling arrangement" (not something that alters a product's content) it was outside the scope of article 34, and so did not need to be justified. Selling arrangements can be held to have an unequal effect "in fact" particularly where traders from another member state are seeking to break into the market, but there are restrictions on advertising and marketing. In Konsumentombudsmannen v De Agostini the Court of Justice reviewed Swedish bans on advertising to children under age 12, and misleading commercials for skin care products. While the bans have remained (justifiable under article 36 or as a mandatory requirement) the Court emphasised that complete marketing bans could be disproportionate if advertising were "the only effective form of promotion enabling [a trader] to penetrate" the market. In Konsumentombudsmannen v Gourmet AB the Court suggested that a total ban for advertising alcohol on the radio, TV and in magazines could fall within article 34 where advertising was the only way for sellers to overcome consumers' "traditional social practices and to local habits and customs" to buy their products, but again the national courts would decide whether it was justified under article 36 to protect public health. Under the Unfair Commercial Practices Directive, the EU harmonised restrictions on restrictions on marketing and advertising, to forbid conduct that distorts average consumer behaviour, is misleading or aggressive, and sets out a list of examples that count as unfair. Increasingly, states have to give mutual recognition to each other's standards of regulation, while the EU has attempted to harmonise minimum ideals of best practice. The attempt to raise standards is hoped to avoid a regulatory "race to the bottom", while allowing consumers access to goods from around the continent. Since its foundation, the Treaties sought to enable people to pursue their life goals in any country through free movement. Reflecting the economic nature of the project, the European Community originally focused upon free movement of workers: as a "factor of production". However, from the 1970s, this focus shifted towards developing a more "social" Europe. Free movement was increasingly based on "citizenship", so that people had rights to empower them to become economically and socially active, rather than economic activity being a precondition for rights. This means the basic "worker" rights in TFEU article 45 function as a specific expression of the general rights of citizens in TFEU articles 18 to 21. According to the Court of Justice, a "worker" is anybody who is economically active, which includes everyone in an employment relationship, "under the direction of another person" for "remuneration". A job, however, need not be paid in money for someone to be protected as a worker. For example, in Steymann v Staatssecretaris van Justitie, a German man claimed the right to residence in the Netherlands, while he volunteered plumbing and household duties in the Bhagwan community, which provided for everyone's material needs irrespective of their contributions. The Court of Justice held that Mr Steymann was entitled to stay, so long as there was at least an "indirect quid pro quo" for the work he did. Having "worker" status means protection against all forms of discrimination by governments, and employers, in access to employment, tax, and social security rights. By contrast a citizen, who is "any person having the nationality of a Member State" (TFEU article 20(1)), has rights to seek work, vote in local and European elections, but more restricted rights to claim social security. In practice, free movement has become politically contentious as nationalist political parties have manipulated fears about immigrants taking away people's jobs and benefits (paradoxically at the same time). Nevertheless, practically "all available research finds little impact" of "labour mobility on wages and employment of local workers". The Free Movement of Workers Regulation articles 1 to 7 set out the main provisions on equal treatment of workers. First, articles 1 to 4 generally require that workers can take up employment, conclude contracts, and not suffer discrimination compared to nationals of the member state. In a famous case, the Belgian Football Association v Bosman, a Belgian footballer named Jean-Marc Bosman claimed that he should be able to transfer from R.F.C. de Liège to USL Dunkerque when his contract finished, regardless of whether Dunkerque could afford to pay Liège the habitual transfer fees. The Court of Justice held "the transfer rules constitute[d] an obstacle to free movement" and were unlawful unless they could be justified in the public interest, but this was unlikely. In Groener v Minister for Education the Court of Justice accepted that a requirement to speak Gaelic to teach in a Dublin design college could be justified as part of the public policy of promoting the Irish language, but only if the measure was not disproportionate. By contrast in Angonese v Cassa di Risparmio di Bolzano SpA a bank in Bolzano, Italy, was not allowed to require Mr Angonese to have a bilingual certificate that could only be obtained in Bolzano. The Court of Justice, giving "horizontal" direct effect to TFEU article 45, reasoned that people from other countries would have little chance of acquiring the certificate, and because it was "impossible to submit proof of the required linguistic knowledge by any other means", the measure was disproportionate. Second, article 7(2) requires equal treatment in respect of tax. In Finanzamt Köln Altstadt v Schumacker the Court of Justice held that it contravened TFEU art 45 to deny tax benefits (e.g. for married couples, and social insurance expense deductions) to a man who worked in Germany, but was resident in Belgium when other German residents got the benefits. By contrast in Weigel v Finanzlandesdirektion für Vorarlberg the Court of Justice rejected Mr Weigel's claim that a re-registration charge upon bringing his car to Austria violated his right to free movement. Although the tax was "likely to have a negative bearing on the decision of migrant workers to exercise their right to freedom of movement", because the charge applied equally to Austrians, in absence of EU legislation on the matter it had to be regarded as justified. Third, people must receive equal treatment regarding "social advantages", although the Court has approved residential qualifying periods. In Hendrix v Employee Insurance Institute the Court of Justice held that a Dutch national was not entitled to continue receiving incapacity benefits when he moved to Belgium, because the benefit was "closely linked to the socio-economic situation" of the Netherlands. Conversely, in Geven v Land Nordrhein-Westfalen the Court of Justice held that a Dutch woman living in the Netherlands, but working between 3 and 14 hours a week in Germany, did not have a right to receive German child benefits, even though the wife of a man who worked full-time in Germany but was resident in Austria could. The general justifications for limiting free movement in TFEU article 45(3) are "public policy, public security or public health", and there is also a general exception in article 45(4) for "employment in the public service". Citizenship of the EU has increasingly been seen as a "fundamental" status of member state nationals by the Court of Justice, and has accordingly increased the number of social services that people can access wherever they move. The Court has required that higher education, along with other forms of vocational training, should be more access, albeit with qualifying periods. In Commission v Austria the Court held that Austria was not entitled to restrict places in Austrian universities to Austrian students to avoid "structural, staffing and financial problems" if (mainly German) foreign students applied for places because there was little evidence of an actual problem. ###Question: Which two importers claimed that under a French competition law, they were prevented from selling Picon beer under wholesale price? ###Answer: {'answer':'Keck and Mithouard'}
###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: What type of missions were approved by Mueller after the incident? ###Answer: {'answer':'sequence'}
###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: What describes the proportionality of acceleration to force and mass? ###Answer: {'answer':'Newton's Second Law'}
###Answer the question from the input provided. Please answer from input only. ###Input: Decision problems are one of the central objects of study in computational complexity theory. A decision problem is a special type of computational problem whose answer is either yes or no, or alternately either 1 or 0. A decision problem can be viewed as a formal language, where the members of the language are instances whose output is yes, and the non-members are those instances whose output is no. The objective is to decide, with the aid of an algorithm, whether a given input string is a member of the formal language under consideration. If the algorithm deciding this problem returns the answer yes, the algorithm is said to accept the input string, otherwise it is said to reject the input. An example of a decision problem is the following. The input is an arbitrary graph. The problem consists in deciding whether the given graph is connected, or not. The formal language associated with this decision problem is then the set of all connected graphs—of course, to obtain a precise definition of this language, one has to decide how graphs are encoded as binary strings. A function problem is a computational problem where a single output (of a total function) is expected for every input, but the output is more complex than that of a decision problem, that is, it isn't just yes or no. Notable examples include the traveling salesman problem and the integer factorization problem. It is tempting to think that the notion of function problems is much richer than the notion of decision problems. However, this is not really the case, since function problems can be recast as decision problems. For example, the multiplication of two integers can be expressed as the set of triples (a, b, c) such that the relation a × b = c holds. Deciding whether a given triple is a member of this set corresponds to solving the problem of multiplying two numbers. To measure the difficulty of solving a computational problem, one may wish to see how much time the best algorithm requires to solve the problem. However, the running time may, in general, depend on the instance. In particular, larger instances will require more time to solve. Thus the time required to solve a problem (or the space required, or any measure of complexity) is calculated as a function of the size of the instance. This is usually taken to be the size of the input in bits. Complexity theory is interested in how algorithms scale with an increase in the input size. For instance, in the problem of finding whether a graph is connected, how much more time does it take to solve a problem for a graph with 2n vertices compared to the time taken for a graph with n vertices? ###Question: How can function problems typically be restated? ###Answer: {'answer':'decision problems'}
###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: The atomic number of the periodic table for oxygen? ###Answer: {'answer':'8'}
###Answer the question from the input provided. Please answer from input only. ###Input: Another position in the United Methodist Church is that of the lay servant. Although not considered clergy, lay speakers often preach during services of worship when an ordained elder, Local Pastor, Associate Member or deacon is unavailable. There are two categories of lay servants: local church lay servant, who serve in and through their local churches, and certified lay servants, who serve in their own churches, in other churches, and through district or conference projects and programs. To be recognized as local church lay servant, they must be recommended by their pastor and Church Council or Charge Conference, and complete the basic course for lay servant. Each year they must reapply, reporting how they have served and continued to learn during that year. To be recognized as certified lay servant, they must be recommended by their pastor and Church Council or Charge Conference, complete the basic course and one advanced lay servant course, and be interviewed by the District or Conference Committee on Lay Speaking. They must report and reapply annually; and they must complete at least one advanced course every three years. The United Methodist Church is one tradition within the Christian Church. The United Methodist Church is active in ecumenical relations with other Christian groups and denominations. It is a member of the National Council of Churches, the World Council of Churches, Churches Uniting in Christ, and Christian Churches Together. In addition, it voted to seek observer status in the National Association of Evangelicals and in the World Evangelical Fellowship. However, there are some in The United Methodist Church who feel that false ecumenism might result in the "blurring of theological and confessional differences in the interests of unity." The United Methodist Church has since 1985 been exploring a possible merger with three historically African-American Methodist denominations: the African Methodist Episcopal Church, the African Methodist Episcopal Zion Church, and the Christian Methodist Episcopal Church. A Commission on Pan Methodist Cooperation and Union formed in 2000 to carry out work on such a merger. In May 2012, The United Methodist Church entered into full communion with the African Methodist Episcopal Church, African Methodist Episcopal Zion Church, African Union Methodist Protestant Church, Christian Methodist Episcopal Church, and Union American Methodist Episcopal Church, in which these Churches agreed to "recognize each other's churches, share sacraments, and affirm their clergy and ministries." Like many other mainline Protestant denominations in the United States, the United Methodist Church has experienced significant membership losses in recent decades. At the time of its formation, the UMC had about 11 million members in nearly 42,000 congregations. In 1975, membership dropped below 10 million for the first time. In 2005, there were about 8 million members in over 34,000 congregations. Membership is concentrated primarily in the Midwest and in the South. Texas has the largest number of members, with about 1 million. The states with the highest membership rates are Oklahoma, Iowa, Mississippi, West Virginia, and North Carolina. By the opening of the 2008 General Conference, total UMC membership was estimated at 11.4 million, with about 7.9 million in the U.S. and 3.5 million overseas. Significantly, about 20% of the conference delegates were from Africa, with Filipinos and Europeans making up another 10%. During the conference, the delegates voted to finalize the induction of the Methodist Church of the Ivory Coast and its 700,000 members into the denomination. Given current trends in the UMC—with overseas churches growing, especially in Africa, and U.S. churches collectively losing about 1,000 members a week—it has been estimated that Africans will make up at least 30% of the delegates at the 2012 General Conference, and it is also possible that 40% of the delegates will be from outside the U.S. One Congolese bishop has estimated that typical Sunday attendance of the UMC is higher in his country than in the entire United States. ###Question: What is one tradition within the Christian Church? ###Answer: {'answer':'United Methodist Church'}
###Answer the question from the input provided. Please answer from input only. ###Input: In the Sandgate area, to the east of the city and beside the river, resided the close-knit community of keelmen and their families. They were so called because they worked on the keels, boats that were used to transfer coal from the river banks to the waiting colliers, for export to London and elsewhere. In the 1630s about 7,000 out of 20,000 inhabitants of Newcastle died of plague, more than one-third of the population. Specifically within the year 1636, it is roughly estimated with evidence held by the Society of Antiquaries that 47% of the then population of Newcastle died from the epidemic; this may also have been the most devastating loss in any British City in this period. During the English Civil War, the North declared for the King. In a bid to gain Newcastle and the Tyne, Cromwell's allies, the Scots, captured the town of Newburn. In 1644 the Scots then captured the reinforced fortification on the Lawe in South Shields following a siege. In 1644 the city was then besieged for many months and was eventually stormed ('with roaring drummes') and sacked by Cromwell's allies. The grateful King bestowed the motto "Fortiter Defendit Triumphans" ("Triumphing by a brave defence") upon the town. Charles I was imprisoned in Newcastle by the Scots in 1646–7. In the 19th century, shipbuilding and heavy engineering were central to the city's prosperity; and the city was a powerhouse of the Industrial Revolution. This revolution resulted in the urbanization of the city. In 1817 the Maling company, at one time the largest pottery company in the world, moved to the city. The Victorian industrial revolution brought industrial structures that included the 2 1⁄2-mile (4.0 km) Victoria Tunnelling, built in 1842, which provided underground wagon ways to the staithes. On 3 February 1879, Mosley Street in the city, was the first public road in the world to be lit up by the incandescent lightbulb. Newcastle was one of the first cities in the world to be lit up by electric lighting. Innovations in Newcastle and surrounding areas included the development of safety lamps, Stephenson's Rocket, Lord Armstrong's artillery, Be-Ro flour, Joseph Swan's electric light bulbs, and Charles Parsons' invention of the steam turbine, which led to the revolution of marine propulsion and the production of cheap electricity. In 1882, Newcastle became the seat of an Anglican diocese, with St. Nicholas' Church becoming its cathedral. In large parts, Newcastle still retains a medieval street layout. Narrow alleys or 'chares', most of which can only be traversed by foot, still exist in abundance, particularly around the riverside. Stairs from the riverside to higher parts of the city centre and the extant Castle Keep, originally recorded in the 14th century, remain intact in places. Close, Sandhill and Quayside contain modern buildings as well as structures dating from the 15th–18th centuries, including Bessie Surtees House, the Cooperage and Lloyds Quayside Bars, Derwentwater House and "House of Tides", a restaurant situated at a Grade I-listed 16th century merchant's house at 28–30 Close. The city has an extensive neoclassical centre referred to as Tyneside Classical largely developed in the 1830s by Richard Grainger and John Dobson, and recently extensively restored. Broadcaster and writer Stuart Maconie described Newcastle as England's best-looking city and the late German-born British scholar of architecture, Nikolaus Pevsner, describes Grey Street as one of the finest streets in England. The street curves down from Grey's Monument towards the valley of the River Tyne and was voted England's finest street in 2005 in a survey of BBC Radio 4 listeners. In the Google Street View awards of 2010, Grey Street came 3rd in the British picturesque category. Osborne Road came 4th in the foodie street category. A portion of Grainger Town was demolished in the 1960s to make way for the Eldon Square Shopping Centre, including all but one side of the original Eldon Square itself. ###Question: Who did the keelmen live with in a tight-knight community east of Newcastle? ###Answer: {'answer':'their families'}
###Answer the question from the input provided. Please answer from input only. ###Input: The French Protestant Church of London was established by Royal Charter in 1550. It is now located at Soho Square. Huguenot refugees flocked to Shoreditch, London. They established a major weaving industry in and around Spitalfields (see Petticoat Lane and the Tenterground) in East London. In Wandsworth, their gardening skills benefited the Battersea market gardens. The Old Truman Brewery, then known as the Black Eagle Brewery, was founded in 1724. The flight of Huguenot refugees from Tours, France drew off most of the workers of its great silk mills which they had built.[citation needed] Some of these immigrants moved to Norwich, which had accommodated an earlier settlement of Walloon weavers. The French added to the existing immigrant population, then comprising about a third of the population of the city. Around 1685, Huguenot refugees found a safe haven in the Lutheran and Reformed states in Germany and Scandinavia. Nearly 50,000 Huguenots established themselves in Germany, 20,000 of whom were welcomed in Brandenburg-Prussia, where they were granted special privileges (Edict of Potsdam) and churches in which to worship (such as the Church of St. Peter and St. Paul, Angermünde) by Frederick William, Elector of Brandenburg and Duke of Prussia. The Huguenots furnished two new regiments of his army: the Altpreußische Infantry Regiments No. 13 (Regiment on foot Varenne) and 15 (Regiment on foot Wylich). Another 4,000 Huguenots settled in the German territories of Baden, Franconia (Principality of Bayreuth, Principality of Ansbach), Landgraviate of Hesse-Kassel, Duchy of Württemberg, in the Wetterau Association of Imperial Counts, in the Palatinate and Palatinate-Zweibrücken, in the Rhine-Main-Area (Frankfurt), in modern-day Saarland; and 1,500 found refuge in Hamburg, Bremen and Lower Saxony. Three hundred refugees were granted asylum at the court of George William, Duke of Brunswick-Lüneburg in Celle. Frederick William, Elector of Brandenburg, invited Huguenots to settle in his realms, and a number of their descendants rose to positions of prominence in Prussia. Several prominent German military, cultural, and political figures were ethnic Huguenot, including poet Theodor Fontane, General Hermann von François, the hero of the First World War Battle of Tannenberg, Luftwaffe General and fighter ace Adolf Galland, Luftwaffe flying ace Hans-Joachim Marseille, and famed U-boat captain Lothar von Arnauld de la Perière. The last Prime Minister of the (East) German Democratic Republic, Lothar de Maizière, is also a descendant of a Huguenot family, as is the German Federal Minister of the Interior, Thomas de Maizière. Steam engines are external combustion engines, where the working fluid is separate from the combustion products. Non-combustion heat sources such as solar power, nuclear power or geothermal energy may be used. The ideal thermodynamic cycle used to analyze this process is called the Rankine cycle. In the cycle, water is heated and transforms into steam within a boiler operating at a high pressure. When expanded through pistons or turbines, mechanical work is done. The reduced-pressure steam is then condensed and pumped back into the boiler. The first commercially successful true engine, in that it could generate power and transmit it to a machine, was the atmospheric engine, invented by Thomas Newcomen around 1712. It was an improvement over Savery's steam pump, using a piston as proposed by Papin. Newcomen's engine was relatively inefficient, and in most cases was used for pumping water. It worked by creating a partial vacuum by condensing steam under a piston within a cylinder. It was employed for draining mine workings at depths hitherto impossible, and also for providing a reusable water supply for driving waterwheels at factories sited away from a suitable "head". Water that had passed over the wheel was pumped back up into a storage reservoir above the wheel. ###Question: What was the first true engine that was commercially successful? ###Answer: {'answer':'atmospheric engine'}
###Answer the question from the input provided. Please answer from input only. ###Input: The first item of business on Wednesdays is usually Time for Reflection, at which a speaker addresses members for up to four minutes, sharing a perspective on issues of faith. This contrasts with the formal style of "Prayers", which is the first item of business in meetings of the House of Commons. Speakers are drawn from across Scotland and are chosen to represent the balance of religious beliefs according to the Scottish census. Invitations to address Parliament in this manner are determined by the Presiding Officer on the advice of the parliamentary bureau. Faith groups can make direct representations to the Presiding Officer to nominate speakers. The Presiding Officer (or Deputy Presiding Officer) decides who speaks in chamber debates and the amount of time for which they are allowed to speak. Normally, the Presiding Officer tries to achieve a balance between different viewpoints and political parties when selecting members to speak. Typically, ministers or party leaders open debates, with opening speakers given between 5 and 20 minutes, and succeeding speakers allocated less time. The Presiding Officer can reduce speaking time if a large number of members wish to participate in the debate. Debate is more informal than in some parliamentary systems. Members may call each other directly by name, rather than by constituency or cabinet position, and hand clapping is allowed. Speeches to the chamber are normally delivered in English, but members may use Scots, Gaelic, or any other language with the agreement of the Presiding Officer. The Scottish Parliament has conducted debates in the Gaelic language. Each sitting day, normally at 5 pm, MSPs decide on all the motions and amendments that have been moved that day. This "Decision Time" is heralded by the sounding of the division bell, which is heard throughout the Parliamentary campus and alerts MSPs who are not in the chamber to return and vote. At Decision Time, the Presiding Officer puts questions on the motions and amendments by reading out the name of the motion or amendment as well as the proposer and asking "Are we all agreed?", to which the chamber first votes orally. If there is audible dissent, the Presiding Officer announces "There will be a division" and members vote by means of electronic consoles on their desks. Each MSP has a unique access card with a microchip which, when inserted into the console, identifies them and allows them to vote. As a result, the outcome of each division is known in seconds. The outcome of most votes can be predicted beforehand since political parties normally instruct members which way to vote. Parties entrust some MSPs, known as whips, with the task of ensuring that party members vote according to the party line. MSPs do not tend to vote against such instructions, since those who do are unlikely to reach higher political ranks in their parties. Errant members can be deselected as official party candidates during future elections, and, in serious cases, may be expelled from their parties outright. Thus, as with many Parliaments, the independence of Members of the Scottish Parliament tends to be low, and backbench rebellions by members who are discontent with their party's policies are rare. In some circumstances, however, parties announce "free votes", which allows Members to vote as they please. This is typically done on moral issues. Immediately after Decision Time a "Members Debate" is held, which lasts for 45 minutes. Members Business is a debate on a motion proposed by an MSP who is not a Scottish minister. Such motions are on issues which may be of interest to a particular area such as a member's own constituency, an upcoming or past event or any other item which would otherwise not be accorded official parliamentary time. As well as the proposer, other members normally contribute to the debate. The relevant minister, whose department the debate and motion relate to "winds up" the debate by speaking after all other participants. ###Question: What day of the week does the Time for Reflection take place? ###Answer: {'answer':'Wednesdays'}
###Answer the question from the input provided. Please answer from input only. ###Input: The merger between ABC and Capital Cities received federal approval on September 5, 1985. After the ABC/Capital Cities merger was finalized on January 3, 1986, the combined company – which became known as Capital Cities/ABC, Inc. – added four television stations (WPVI-TV/Philadelphia, KTRK-TV/Houston, KFSN-TV/Fresno and WTVD/Raleigh) and several radio stations to ABC's broadcasting portfolio, and also included Fairchild Publications and four newspapers (including The Kansas City Star and Fort Worth Star-Telegram). It also initiated several changes in its management: Frederick S. Pierce was named president of ABC's broadcasting division; Michael P. Millardi became vice president of ABC Broadcasting, and president of ABC Owned Stations and ABC Video Enterprises; John B. Sias was appointed president of the ABC Television Network; Brandon Stoddard became president of ABC Entertainment (a position to which he had been appointed in November 1985); and Roone Arledge became president of ABC News and ABC Sports. In February 1986, Thomas S. Murphy, who had been serving as CEO of Capital Cities since 1964, was appointed chairman and CEO emeritus of ABC. Jim Duffy stepped down as ABC Television president for a management position at ABC Communications, a subsidiary that specialized in community service programming, including shows related to literary education. As far as programming is concerned, four of ABC's marquee shows of the 1970s ended their runs during the mid-1980s: Laverne & Shirley ended its run in 1983, Happy Days and Three's Company ended in 1984 (with the latter producing a short-lived spinoff that year), while The Love Boat ended its run in 1986. After nearly a decade of ratings trouble, NBC had regained the ratings lead among the Big Three networks in 1984 on the success of series such as The Cosby Show, Cheers and Miami Vice. To counteract NBC, ABC decided to refocus itself on comedies and family-oriented series beginning in the mid-1980s including Mr. Belvedere, Roseanne, Who's the Boss?, Just the Ten of Us, The Wonder Years, Full House and Perfect Strangers. Following the initial success of these series, ABC revamped its Friday night schedule around family-friendly comedies in the late 1980s, culminating in the 1989 debut of the "TGIF" block (which promotions referenced stood for "Thank Goodness It's Funny"). Many of the series featured during the run of the block were produced by Miller-Boyett Productions, a Warner Bros.-based studio that briefly programmed the entire Friday lineup during the 1990–91 season (with Going Places joining Family Matters, Full House and Perfect Strangers on the "TGIF" schedule) and through its development deal with Paramount Television prior to 1986 (as Miller-Milkis, and later, Miller-Milkis-Boyett Productions), had earlier produced Happy Days and its various spinoffs among other series for the network. In 1968, ABC took advantage of new FCC ownership regulations that allowed broadcasting companies to own a maximum of seven radio stations nationwide in order to purchase Houston radio stations KXYZ and KXYZ-FM for $1 million in shares and $1.5 million in bonds. That year, Roone Arledge was named president of ABC Sports; the company also founded ABC Pictures, a film production company which released its first picture that year, the Ralph Nelson-directed Charly. It was renamed ABC Motion Pictures in 1979; the unit was dissolved in 1985. The studio also operated two subsidiaries, Palomar Pictures International and Selmur Pictures. In July 1968, ABC continued its acquisitions in the amusement parks sector with the opening of ABC Marine World in Redwood City, California; that park was sold in 1972 and demolished in 1986, with the land that occupied the park later becoming home to the headquarters of Oracle Corporation. It was not until the late 1950s that the ABC network became a serious contender to NBC and CBS, and this was in large part due to the diverse range of programming that met the expectations of the public, such as westerns and detective series. Despite an almost 500% increase in advertising revenues between 1953 and 1958, the network only had a national reach of between 10% and 18% of the total U.S. population, as it still had relatively fewer affiliates than NBC and CBS. In 1957, ABC Entertainment president Ollie Treiz discovered that the locally produced variety show Bandstand had pulled very strong ratings in the Philadelphia market on WFIL-TV; Treiz ultimately negotiated a deal to take the show national, under the revised title American Bandstand; the show quickly became a social phenomenon by presenting new musical talent and dances to America's youth and helped make a star out of its host, Dick Clark. ###Question: What comedy block debuted in 1989 for ABC? ###Answer: {'answer':'the "TGIF" block'}
###Answer the question from the input provided. Please answer from input only. ###Input: Approximately one million Protestants in modern France represent some 2% of its population. Most are concentrated in Alsace in northeast France and the Cévennes mountain region in the south, who still regard themselves as Huguenots to this day.[citation needed] A diaspora of French Australians still considers itself Huguenot, even after centuries of exile. Long integrated into Australian society, it is encouraged by the Huguenot Society of Australia to embrace and conserve its cultural heritage, aided by the Society's genealogical research services. Huguenot immigrants did not disperse or settle in different parts of the country, but rather, formed three societies or congregations; one in the city of New York, another 21 miles north of New York in a town which they named New Rochelle, and a third further upstate in New Paltz. The "Huguenot Street Historic District" in New Paltz has been designated a National Historic Landmark site and contains the oldest street in the United States of America. A small group of Huguenots also settled on the south shore of Staten Island along the New York Harbor, for which the current neighborhood of Huguenot was named. After the revocation of the Edict of Nantes, the Dutch Republic received the largest group of Huguenot refugees, an estimated total of 75,000 to 100,000 people. Amongst them were 200 clergy. Many came from the region of the Cévennes, for instance, the village of Fraissinet-de-Lozère. This was a huge influx as the entire population of the Dutch Republic amounted to ca. 2 million at that time. Around 1700, it is estimated that nearly 25% of the Amsterdam population was Huguenot.[citation needed] In 1705, Amsterdam and the area of West Frisia were the first areas to provide full citizens rights to Huguenot immigrants, followed by the Dutch Republic in 1715. Huguenots intermarried with Dutch from the outset. In this last connection, the name could suggest the derogatory inference of superstitious worship; popular fancy held that Huguon, the gate of King Hugo, was haunted by the ghost of le roi Huguet (regarded by Roman Catholics as an infamous scoundrel) and other spirits, who instead of being in Purgatory came back to harm the living at night. It was in this place in Tours that the prétendus réformés ("these supposedly 'reformed'") habitually gathered at night, both for political purposes, and for prayer and singing psalms. Such explanations have been traced to the contemporary, Reguier de la Plancha (d. 1560), who in De l'Estat de France offered the following account as to the origin of the name, as cited by The Cape Monthly: Other evidence of the Walloons and Huguenots in Canterbury includes a block of houses in Turnagain Lane, where weavers' windows survive on the top floor, as many Huguenots worked as weavers. The Weavers, a half-timbered house by the river, was the site of a weaving school from the late 16th century to about 1830. (It has been adapted as a restaurant—see illustration above. The house derives its name from a weaving school which was moved there in the last years of the 19th century, reviving an earlier use.) Others refugees practised the variety of occupations necessary to sustain the community as distinct from the indigenous population. Such economic separation was the condition of the refugees' initial acceptance in the City. They also settled elsewhere in Kent, particularly Sandwich, Faversham and Maidstone—towns in which there used to be refugee churches. ###Question: Where did Huguenots and Walloons settle in England? ###Answer: {'answer':'Canterbury'}
###Answer the question from the input provided. Please answer from input only. ###Input: The V&A has its origins in the Great Exhibition of 1851, with which Henry Cole, the museum's first director, was involved in planning; initially it was known as the Museum of Manufactures, first opening in May 1852 at Marlborough House, but by September had been transferred to Somerset House. At this stage the collections covered both applied art and science. Several of the exhibits from the Exhibition were purchased to form the nucleus of the collection. By February 1854 discussions were underway to transfer the museum to the current site and it was renamed South Kensington Museum. In 1855 the German architect Gottfried Semper, at the request of Cole, produced a design for the museum, but it was rejected by the Board of Trade as too expensive. The site was occupied by Brompton Park House; this was extended including the first refreshment rooms opened in 1857, the museum being the first in the world to provide such a facility. The official opening by Queen Victoria was on 22 June 1857. In the following year, late night openings were introduced, made possible by the use of gas lighting. This was to enable in the words of Cole "to ascertain practically what hours are most convenient to the working classes"—this was linked to the use of the collections of both applied art and science as educational resources to help boost productive industry. In these early years the practical use of the collection was very much emphasised as opposed to that of "High Art" at the National Gallery and scholarship at the British Museum. George Wallis (1811–1891), the first Keeper of Fine Art Collection, passionately promoted the idea of wide art education through the museum collections. This led to the transfer to the museum of the School of Design that had been founded in 1837 at Somerset House; after the transfer it was referred to as the Art School or Art Training School, later to become the Royal College of Art which finally achieved full independence in 1949. From the 1860s to the 1880s the scientific collections had been moved from the main museum site to various improvised galleries to the west of Exhibition Road. In 1893 the "Science Museum" had effectively come into existence when a separate director was appointed. Before the return of the collections after the war, the Britain Can Make It exhibition was held between September and November 1946, attracting nearly a million and a half visitors. This was organised by the Council of Industrial Design established by the British government in 1944 "to promote by all practicable means the improvement of design in the products of British industry". The success of this exhibition led to the planning of the Festival of Britain (1951). By 1948 most of the collections had been returned to the museum. In July 1973, as part of its outreach programme to young people, the V&A became the first museum in Britain to present a rock concert. The V&A presented a combined concert/lecture by British progressive folk-rock band Gryphon, who explored the lineage of mediaeval music and instrumentation and related how those contributed to contemporary music 500 years later. This innovative approach to bringing young people to museums was a hallmark of the directorship of Roy Strong and was subsequently emulated by some other British museums. The V&A is in discussion with the University of Dundee, University of Abertay, Dundee City Council and the Scottish Government with a view to opening a new £43 million gallery in Dundee that would use the V&A brand although it would be funded through and operated independently. As of 2015, with costs estimated at £76 million, it is the most expensive gallery project ever undertaken in Scotland. The V&A Dundee will be on the city's waterfront and is intended to focus on fashion, architecture, product design, graphic arts and photography. It is planned that it could open within five years. Dundee City Council is expected to pay a major part of the running costs. The V&A is not contributing financially, but will be providing expertise, loans and exhibitions. ###Question: The V&A has its origins in which world exposition? ###Answer: {'answer':'Great Exhibition of 1851'}
###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: What kind of cell did cynaobacteria enter long ago? ###Answer: {'answer':'eukaryotic'}
###Answer the question from the input provided. Please answer from input only. ###Input: The two most prominent Norman families to arrive in the Mediterranean were descendants of Tancred of Hauteville and the Drengot family, of whom Rainulf Drengot received the county of Aversa, the first Norman toehold in the south, from Duke Sergius IV of Naples in 1030. The Hauteville family achieved princely rank by proclaiming prince Guaimar IV of Salerno "Duke of Apulia and Calabria". He promptly awarded their elected leader, William Iron Arm, with the title of count in his capital of Melfi. The Drengot family thereafter attained the principality of Capua, and emperor Henry III legally ennobled the Hauteville leader, Drogo, as "dux et magister Italiae comesque Normannorum totius Apuliae et Calabriae" ("Duke and Master of Italy and Count of the Normans of all Apulia and Calabria") in 1047. From these bases, the Normans eventually captured Sicily and Malta from the Saracens, under the leadership of the famous Robert Guiscard, a Hauteville, and his younger brother Roger the Great Count. Roger's son, Roger II of Sicily, was crowned king in 1130 (exactly one century after Rainulf was "crowned" count) by Antipope Anacletus II. The Kingdom of Sicily lasted until 1194, when it was transferred to the House of Hohenstaufen through marriage. The Normans left their legacy in many castles, such as William Iron Arm's citadel at Squillace, and cathedrals, such as Roger II's Cappella Palatina chapel at Palermo, which dot the landscape and give a wholly distinct architectural flavor to accompany its unique history. Institutionally, the Normans combined the administrative machinery of the Byzantines, Arabs, and Lombards with their own conceptions of feudal law and order to forge a unique government. Under this state, there was great religious freedom, and alongside the Norman nobles existed a meritocratic bureaucracy of Jews, Muslims and Christians, both Catholic and Eastern Orthodox. The Kingdom of Sicily thus became characterized by Norman, Byzantine Greek, Arab, Lombard and "native" Sicilian populations living in harmony, and its Norman rulers fostered plans of establishing an Empire that would have encompassed Fatimid Egypt as well as the Crusader states in the Levant. One of the great geographical treatises of the Middle Ages, the "Tabula Rogeriana", was written by the Andalusian al-Idrisi for king Roger II of Sicily, and entitled "Kitab Rudjdjar" ("The Book of Roger"). Soon after the Normans began to enter Italy, they entered the Byzantine Empire and then Armenia, fighting against the Pechenegs, the Bulgars, and especially the Seljuk Turks. Norman mercenaries were first encouraged to come to the south by the Lombards to act against the Byzantines, but they soon fought in Byzantine service in Sicily. They were prominent alongside Varangian and Lombard contingents in the Sicilian campaign of George Maniaces in 1038–40. There is debate whether the Normans in Greek service actually were from Norman Italy, and it now seems likely only a few came from there. It is also unknown how many of the "Franks", as the Byzantines called them, were Normans and not other Frenchmen. One of the first Norman mercenaries to serve as a Byzantine general was Hervé in the 1050s. By then however, there were already Norman mercenaries serving as far away as Trebizond and Georgia. They were based at Malatya and Edessa, under the Byzantine duke of Antioch, Isaac Komnenos. In the 1060s, Robert Crispin led the Normans of Edessa against the Turks. Roussel de Bailleul even tried to carve out an independent state in Asia Minor with support from the local population, but he was stopped by the Byzantine general Alexius Komnenos. ###Question: What is another name for the Tabula Rogeriana? ###Answer: {'answer':'Kitab Rudjdjar'}
###Answer the question from the input provided. Please answer from input only. ###Input: Immunodeficiencies occur when one or more of the components of the immune system are inactive. The ability of the immune system to respond to pathogens is diminished in both the young and the elderly, with immune responses beginning to decline at around 50 years of age due to immunosenescence. In developed countries, obesity, alcoholism, and drug use are common causes of poor immune function. However, malnutrition is the most common cause of immunodeficiency in developing countries. Diets lacking sufficient protein are associated with impaired cell-mediated immunity, complement activity, phagocyte function, IgA antibody concentrations, and cytokine production. Additionally, the loss of the thymus at an early age through genetic mutation or surgical removal results in severe immunodeficiency and a high susceptibility to infection. Long-term active memory is acquired following infection by activation of B and T cells. Active immunity can also be generated artificially, through vaccination. The principle behind vaccination (also called immunization) is to introduce an antigen from a pathogen in order to stimulate the immune system and develop specific immunity against that particular pathogen without causing disease associated with that organism. This deliberate induction of an immune response is successful because it exploits the natural specificity of the immune system, as well as its inducibility. With infectious disease remaining one of the leading causes of death in the human population, vaccination represents the most effective manipulation of the immune system mankind has developed. The success of any pathogen depends on its ability to elude host immune responses. Therefore, pathogens evolved several methods that allow them to successfully infect a host, while evading detection or destruction by the immune system. Bacteria often overcome physical barriers by secreting enzymes that digest the barrier, for example, by using a type II secretion system. Alternatively, using a type III secretion system, they may insert a hollow tube into the host cell, providing a direct route for proteins to move from the pathogen to the host. These proteins are often used to shut down host defenses. In the mid-1950s, Frank Burnet, inspired by a suggestion made by Niels Jerne, formulated the clonal selection theory (CST) of immunity. On the basis of CST, Burnet developed a theory of how an immune response is triggered according to the self/nonself distinction: "self" constituents (constituents of the body) do not trigger destructive immune responses, while "nonself" entities (pathogens, an allograft) trigger a destructive immune response. The theory was later modified to reflect new discoveries regarding histocompatibility or the complex "two-signal" activation of T cells. The self/nonself theory of immunity and the self/nonself vocabulary have been criticized, but remain very influential. Anti-inflammatory drugs are often used to control the effects of inflammation. Glucocorticoids are the most powerful of these drugs; however, these drugs can have many undesirable side effects, such as central obesity, hyperglycemia, osteoporosis, and their use must be tightly controlled. Lower doses of anti-inflammatory drugs are often used in conjunction with cytotoxic or immunosuppressive drugs such as methotrexate or azathioprine. Cytotoxic drugs inhibit the immune response by killing dividing cells such as activated T cells. However, the killing is indiscriminate and other constantly dividing cells and their organs are affected, which causes toxic side effects. Immunosuppressive drugs such as cyclosporin prevent T cells from responding to signals correctly by inhibiting signal transduction pathways. ###Question: What kind of disorders occur when part of the immune system isn't active? ###Answer: {'answer':'Immunodeficiencies'}
###Answer the question from the input provided. Please answer from input only. ###Input: Emperor Gegeen Khan, Ayurbarwada's son and successor, ruled for only two years, from 1321 to 1323. He continued his father's policies to reform the government based on the Confucian principles, with the help of his newly appointed grand chancellor Baiju. During his reign, the Da Yuan Tong Zhi (Chinese: 大元通制, "the comprehensive institutions of the Great Yuan"), a huge collection of codes and regulations of the Yuan dynasty begun by his father, was formally promulgated. Gegeen was assassinated in a coup involving five princes from a rival faction, perhaps steppe elite opposed to Confucian reforms. They placed Yesün Temür (or Taidingdi) on the throne, and, after an unsuccessful attempt to calm the princes, he also succumbed to regicide. When Yesün Temür died in Shangdu in 1328, Tugh Temür was recalled to Khanbaliq by the Qipchaq commander El Temür. He was installed as the emperor (Emperor Wenzong) in Khanbaliq, while Yesün Temür's son Ragibagh succeeded to the throne in Shangdu with the support of Yesün Temür's favorite retainer Dawlat Shah. Gaining support from princes and officers in Northern China and some other parts of the dynasty, Khanbaliq-based Tugh Temür eventually won the civil war against Ragibagh known as the War of the Two Capitals. Afterwards, Tugh Temür abdicated in favour of his brother Kusala, who was backed by Chagatai Khan Eljigidey, and announced Khanbaliq's intent to welcome him. However, Kusala suddenly died only four days after a banquet with Tugh Temür. He was supposedly killed with poison by El Temür, and Tugh Temür then remounted the throne. Tugh Temür also managed to send delegates to the western Mongol khanates such as Golden Horde and Ilkhanate to be accepted as the suzerain of Mongol world. However, he was mainly a puppet of the powerful official El Temür during his latter three-year reign. El Temür purged pro-Kusala officials and brought power to warlords, whose despotic rule clearly marked the decline of the dynasty. Due to the fact that the bureaucracy was dominated by El Temür, Tugh Temür is known for his cultural contribution instead. He adopted many measures honoring Confucianism and promoting Chinese cultural values. His most concrete effort to patronize Chinese learning was founding the Academy of the Pavilion of the Star of Literature (Chinese: 奎章閣學士院), first established in the spring of 1329 and designed to undertake "a number of tasks relating to the transmission of Confucian high culture to the Mongolian imperial establishment". The academy was responsible for compiling and publishing a number of books, but its most important achievement was its compilation of a vast institutional compendium named Jingshi Dadian (Chinese: 經世大典). Tugh Temür supported Zhu Xi's Neo-Confucianism and also devoted himself in Buddhism. After the death of Tugh Temür in 1332 and subsequent death of Rinchinbal (Emperor Ningzong) the same year, the 13-year-old Toghun Temür (Emperor Huizong), the last of the nine successors of Kublai Khan, was summoned back from Guangxi and succeeded to the throne. After El Temür's death, Bayan became as powerful an official as El Temür had been in the beginning of his long reign. As Toghun Temür grew, he came to disapprove of Bayan's autocratic rule. In 1340 he allied himself with Bayan's nephew Toqto'a, who was in discord with Bayan, and banished Bayan by coup. With the dismissal of Bayan, Toghtogha seized the power of the court. His first administration clearly exhibited fresh new spirit. He also gave a few early signs of a new and positive direction in central government. One of his successful projects was to finish the long-stalled official histories of the Liao, Jin, and Song dynasties, which were eventually completed in 1345. Yet, Toghtogha resigned his office with the approval of Toghun Temür, marking the end of his first administration, and he was not called back until 1349. The final years of the Yuan dynasty were marked by struggle, famine, and bitterness among the populace. In time, Kublai Khan's successors lost all influence on other Mongol lands across Asia, while the Mongols beyond the Middle Kingdom saw them as too Chinese. Gradually, they lost influence in China as well. The reigns of the later Yuan emperors were short and marked by intrigues and rivalries. Uninterested in administration, they were separated from both the army and the populace, and China was torn by dissension and unrest. Outlaws ravaged the country without interference from the weakening Yuan armies. ###Question: Where did Yesun Temur die? ###Answer: {'answer':'Shangdu'}
###Answer the question from the input provided. Please answer from input only. ###Input: Natural killer cells, or NK cells, are a component of the innate immune system which does not directly attack invading microbes. Rather, NK cells destroy compromised host cells, such as tumor cells or virus-infected cells, recognizing such cells by a condition known as "missing self." This term describes cells with low levels of a cell-surface marker called MHC I (major histocompatibility complex) – a situation that can arise in viral infections of host cells. They were named "natural killer" because of the initial notion that they do not require activation in order to kill cells that are "missing self." For many years it was unclear how NK cells recognize tumor cells and infected cells. It is now known that the MHC makeup on the surface of those cells is altered and the NK cells become activated through recognition of "missing self". Normal body cells are not recognized and attacked by NK cells because they express intact self MHC antigens. Those MHC antigens are recognized by killer cell immunoglobulin receptors (KIR) which essentially put the brakes on NK cells. The adaptive immune system evolved in early vertebrates and allows for a stronger immune response as well as immunological memory, where each pathogen is "remembered" by a signature antigen. The adaptive immune response is antigen-specific and requires the recognition of specific "non-self" antigens during a process called antigen presentation. Antigen specificity allows for the generation of responses that are tailored to specific pathogens or pathogen-infected cells. The ability to mount these tailored responses is maintained in the body by "memory cells". Should a pathogen infect the body more than once, these specific memory cells are used to quickly eliminate it. Both B cells and T cells carry receptor molecules that recognize specific targets. T cells recognize a "non-self" target, such as a pathogen, only after antigens (small fragments of the pathogen) have been processed and presented in combination with a "self" receptor called a major histocompatibility complex (MHC) molecule. There are two major subtypes of T cells: the killer T cell and the helper T cell. In addition there are regulatory T cells which have a role in modulating immune response. Killer T cells only recognize antigens coupled to Class I MHC molecules, while helper T cells and regulatory T cells only recognize antigens coupled to Class II MHC molecules. These two mechanisms of antigen presentation reflect the different roles of the two types of T cell. A third, minor subtype are the γδ T cells that recognize intact antigens that are not bound to MHC receptors. Killer T cells are a sub-group of T cells that kill cells that are infected with viruses (and other pathogens), or are otherwise damaged or dysfunctional. As with B cells, each type of T cell recognizes a different antigen. Killer T cells are activated when their T cell receptor (TCR) binds to this specific antigen in a complex with the MHC Class I receptor of another cell. Recognition of this MHC:antigen complex is aided by a co-receptor on the T cell, called CD8. The T cell then travels throughout the body in search of cells where the MHC I receptors bear this antigen. When an activated T cell contacts such cells, it releases cytotoxins, such as perforin, which form pores in the target cell's plasma membrane, allowing ions, water and toxins to enter. The entry of another toxin called granulysin (a protease) induces the target cell to undergo apoptosis. T cell killing of host cells is particularly important in preventing the replication of viruses. T cell activation is tightly controlled and generally requires a very strong MHC/antigen activation signal, or additional activation signals provided by "helper" T cells (see below). Helper T cells express T cell receptors (TCR) that recognize antigen bound to Class II MHC molecules. The MHC:antigen complex is also recognized by the helper cell's CD4 co-receptor, which recruits molecules inside the T cell (e.g., Lck) that are responsible for the T cell's activation. Helper T cells have a weaker association with the MHC:antigen complex than observed for killer T cells, meaning many receptors (around 200–300) on the helper T cell must be bound by an MHC:antigen in order to activate the helper cell, while killer T cells can be activated by engagement of a single MHC:antigen molecule. Helper T cell activation also requires longer duration of engagement with an antigen-presenting cell. The activation of a resting helper T cell causes it to release cytokines that influence the activity of many cell types. Cytokine signals produced by helper T cells enhance the microbicidal function of macrophages and the activity of killer T cells. In addition, helper T cell activation causes an upregulation of molecules expressed on the T cell's surface, such as CD40 ligand (also called CD154), which provide extra stimulatory signals typically required to activate antibody-producing B cells. ###Question: Natural killer cells recognize cells that should be targeted by a condition known as what? ###Answer: {'answer':'missing self'}
###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: What was enhanced in 2014? ###Answer: {'answer':'Victorian architecture'}
###Answer the question from the input provided. Please answer from input only. ###Input: News of the two battles reached England in August. After several months of negotiations, the government of the Duke of Newcastle decided to send an army expedition the following year to dislodge the French. They chose Major General Edward Braddock to lead the expedition. Word of the British military plans leaked to France well before Braddock's departure for North America. In response, King Louis XV dispatched six regiments to New France under the command of Baron Dieskau in 1755. The British, intending to blockade French ports, sent out their fleet in February 1755, but the French fleet had already sailed. Admiral Edward Hawke detached a fast squadron to North America in an attempt to intercept the French. An early important political response to the opening of hostilities was the convening of the Albany Congress in June and July, 1754. The goal of the congress was to formalize a unified front in trade and negotiations with various Indians, since allegiance of the various tribes and nations was seen to be pivotal in the success in the war that was unfolding. The plan that the delegates agreed to was never ratified by the colonial legislatures nor approved of by the crown. Nevertheless, the format of the congress and many specifics of the plan became the prototype for confederation during the War of Independence. Braddock (with George Washington as one of his aides) led about 1,500 army troops and provincial militia on an expedition in June 1755 to take Fort Duquesne. The expedition was a disaster. It was attacked by French and Indian soldiers ambushing them from up in trees and behind logs. Braddock called for a retreat. He was killed. Approximately 1,000 British soldiers were killed or injured. The remaining 500 British troops, led by George Washington, retreated to Virginia. Two future opponents in the American Revolutionary War, Washington and Thomas Gage, played key roles in organizing the retreat. The French acquired a copy of the British war plans, including the activities of Shirley and Johnson. Shirley's efforts to fortify Oswego were bogged down in logistical difficulties, exacerbated by Shirley's inexperience in managing large expeditions. In conjunction, Shirley was made aware that the French were massing for an attack on Fort Oswego in his absence when he planned to attack Fort Niagara. As a response, Shirley left garrisons at Oswego, Fort Bull, and Fort Williams (the latter two located on the Oneida Carry between the Mohawk River and Wood Creek at present-day Rome, New York). Supplies for use in the projected attack on Niagara were cached at Fort Bull. Johnson's expedition was better organized than Shirley's, which was noticed by New France's governor, the Marquis de Vaudreuil. He had primarily been concerned about the extended supply line to the forts on the Ohio, and had sent Baron Dieskau to lead the defenses at Frontenac against Shirley's expected attack. When Johnson was seen as the larger threat, Vaudreuil sent Dieskau to Fort St. Frédéric to meet that threat. Dieskau planned to attack the British encampment at Fort Edward at the upper end of navigation on the Hudson River, but Johnson had strongly fortified it, and Dieskau's Indian support was reluctant to attack. The two forces finally met in the bloody Battle of Lake George between Fort Edward and Fort William Henry. The battle ended inconclusively, with both sides withdrawing from the field. Johnson's advance stopped at Fort William Henry, and the French withdrew to Ticonderoga Point, where they began the construction of Fort Carillon (later renamed Fort Ticonderoga after British capture in 1759). ###Question: What was the goal of Braddock's expedition? ###Answer: {'answer':'dislodge the French'}