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How many parts were brand new in the Porsche 993? | The 993 was much improved over and quite different from its predecessor. According to Porsche, every part of the car was designed from the ground up, including the engine and only 20% of its parts were carried over from the previous generation. Porsche refers to the 993 as "a significant advance, not just from a technical, but also a visual perspective." Porsche's engineers devised a new light-alloy subframe with coil and wishbone suspension (an all new multi-link system, Weissach axle), putting behind the previous lift-off oversteer and making significant progress with the engine and handling, creating a more civilized car overall and providing an improved driving experience. The 993 was also the first 911 to receive a six speed transmission. | The 993 model was made from 1994-1998. It is known as the last of the aircooled Porsches. Only 20% of its parts were carried over from the previous generation (the 964). The 993 was a significant advance in terms of design and technical components. It is one of the most highly regarded 911s to this day. | summarization | ### Instruction: How many parts were brand new in the Porsche 993?
### Context: The 993 was much improved over and quite different from its predecessor. According to Porsche, every part of the car was designed from the ground up, including the engine and only 20% of its parts were carried over from the previous generation. Porsche refers to the 993 as "a significant advance, not just from a technical, but also a visual perspective." Porsche's engineers devised a new light-alloy subframe with coil and wishbone suspension (an all new multi-link system, Weissach axle), putting behind the previous lift-off oversteer and making significant progress with the engine and handling, creating a more civilized car overall and providing an improved driving experience. The 993 was also the first 911 to receive a six speed transmission.
### Answer: The 993 model was made from 1994-1998. It is known as the last of the aircooled Porsches. Only 20% of its parts were carried over from the previous generation (the 964). The 993 was a significant advance in terms of design and technical components. It is one of the most highly regarded 911s to this day.</s> |
What is an egg laying mammal? | The platypus (Ornithorhynchus anatinus), sometimes referred to as the duck-billed platypus, is a semiaquatic, egg-laying mammal endemic to eastern Australia, including Tasmania. The platypus is the sole living representative or monotypic taxon of its family (Ornithorhynchidae) and genus (Ornithorhynchus), though a number of related species appear in the fossil record. | Duck-billed platypus is an egg-laying mammal found in eastern Australia. It is the sole living representative in its genus Ornithorhynchus. | summarization | ### Instruction: What is an egg laying mammal?
### Context: The platypus (Ornithorhynchus anatinus), sometimes referred to as the duck-billed platypus, is a semiaquatic, egg-laying mammal endemic to eastern Australia, including Tasmania. The platypus is the sole living representative or monotypic taxon of its family (Ornithorhynchidae) and genus (Ornithorhynchus), though a number of related species appear in the fossil record.
### Answer: Duck-billed platypus is an egg-laying mammal found in eastern Australia. It is the sole living representative in its genus Ornithorhynchus.</s> |
who is Hugh Ogden? | Hugh Ogden (March 11, 1937 – December 31, 2006) was an American poet and educator. Ogden was a 1959 graduate of Haverford College. Ogden received his master’s degree from New York University and a Ph.D. from the University of Michigan. He taught at Michigan and then for four decades at Trinity College in Hartford. While at Trinity, Ogden co-founded the College’s creative writing program in 1968.
Ogden was born in Erie, Pennsylvania. Ogden has written an estimated 400 to 500 poems, many of which have been published in small presses and magazines, and he has won a National Endowment for the Arts grant and two Connecticut Commission on the Arts Fellowships. In 1998, Ogden was nominated for the Pushcart Prize in Poetry.
Ogden died on December 31, 2006, after falling through the ice on Rangeley Lake in Oquossoc, Maine. | Hugh Ogden was an American poet who taught at Trinity College in Hartford, CT. Ogden wrote an estimated 400 to 500 poems, and was published with his book "Gift". He was born in Erie, Pennsylvania and won several poetry awards and co-founded the College's creative writing program in 1968 at Trinity College. Ogden died on December 31, 2006, after falling through the ice. | summarization | ### Instruction: who is Hugh Ogden?
### Context: Hugh Ogden (March 11, 1937 – December 31, 2006) was an American poet and educator. Ogden was a 1959 graduate of Haverford College. Ogden received his master’s degree from New York University and a Ph.D. from the University of Michigan. He taught at Michigan and then for four decades at Trinity College in Hartford. While at Trinity, Ogden co-founded the College’s creative writing program in 1968.
Ogden was born in Erie, Pennsylvania. Ogden has written an estimated 400 to 500 poems, many of which have been published in small presses and magazines, and he has won a National Endowment for the Arts grant and two Connecticut Commission on the Arts Fellowships. In 1998, Ogden was nominated for the Pushcart Prize in Poetry.
Ogden died on December 31, 2006, after falling through the ice on Rangeley Lake in Oquossoc, Maine.
### Answer: Hugh Ogden was an American poet who taught at Trinity College in Hartford, CT. Ogden wrote an estimated 400 to 500 poems, and was published with his book "Gift". He was born in Erie, Pennsylvania and won several poetry awards and co-founded the College's creative writing program in 1968 at Trinity College. Ogden died on December 31, 2006, after falling through the ice.</s> |
What is Paris-Brest named after? | The round pastry, in the form of a wheel, was created in 1910 by Louis Durand, pâtissier of Maisons-Laffitte, at the request of Pierre Giffard, to commemorate the Paris–Brest–Paris bicycle race he had initiated in 1891. Its circular shape is representative of a wheel. It became popular with riders on the Paris–Brest–Paris cycle race, partly because of its energizing, high-calorie value and its intriguing name, and is now found in pâtisseries all over France. | Paris-Brest is a round french pastry, usually prepared as a choux pastry with a cream filling. The pastry is shaped like a circle with a hole in the middle, meant to represent a bicycle wheel in honor of a famous bicycle race between the French cities of Paris and Brest. | summarization | ### Instruction: What is Paris-Brest named after?
### Context: The round pastry, in the form of a wheel, was created in 1910 by Louis Durand, pâtissier of Maisons-Laffitte, at the request of Pierre Giffard, to commemorate the Paris–Brest–Paris bicycle race he had initiated in 1891. Its circular shape is representative of a wheel. It became popular with riders on the Paris–Brest–Paris cycle race, partly because of its energizing, high-calorie value and its intriguing name, and is now found in pâtisseries all over France.
### Answer: Paris-Brest is a round french pastry, usually prepared as a choux pastry with a cream filling. The pastry is shaped like a circle with a hole in the middle, meant to represent a bicycle wheel in honor of a famous bicycle race between the French cities of Paris and Brest.</s> |
What are key facts that characterize the country of Canada? | Canada is a country in North America. Its ten provinces and three territories extend from the Atlantic Ocean to the Pacific Ocean and northward into the Arctic Ocean, making it the world's second-largest country by total area, with the world's longest coastline. It is characterized by a wide range of both meteorologic and geological regions. The country is sparsely inhabited, with the vast majority residing south of the 55th parallel in urban areas. Canada's capital is Ottawa and its three largest metropolitan areas are Toronto, Montreal, and Vancouver. | Canada is in North America and has ten provinces organized in three territories. It boarders three oceans including the Pacific, Atlantic, and Arctic. Although it is one of the largest countries by land mass, its population is sparse. | summarization | ### Instruction: What are key facts that characterize the country of Canada?
### Context: Canada is a country in North America. Its ten provinces and three territories extend from the Atlantic Ocean to the Pacific Ocean and northward into the Arctic Ocean, making it the world's second-largest country by total area, with the world's longest coastline. It is characterized by a wide range of both meteorologic and geological regions. The country is sparsely inhabited, with the vast majority residing south of the 55th parallel in urban areas. Canada's capital is Ottawa and its three largest metropolitan areas are Toronto, Montreal, and Vancouver.
### Answer: Canada is in North America and has ten provinces organized in three territories. It boarders three oceans including the Pacific, Atlantic, and Arctic. Although it is one of the largest countries by land mass, its population is sparse.</s> |
Who was William P. Bolton | William P. Bolton (July 2, 1885 – November 22, 1964) was a one-term U.S. Congressman who represented the second district of Maryland from 1949 to 1951 until defeated by Republican General James Devereux.
Born near Whiteford, Maryland, Bolton attended the public schools and St. Francis Parochial School in Baltimore County, Maryland. He graduated from the University of Baltimore Law School in 1909, and became a lawyer in private practice. He served as trial magistrate in Towson, Maryland from 1941-1946.
Bolton served in the Maryland State Senate from 1946 to 1948. He was elected as a Democrat to the Eighty-first Congress, serving from January 3, 1949 to January 3, 1951. He was an unsuccessful candidate for reelection to the Eighty-second Congress in 1950 and again in 1954.
During his short time in the Maryland Senate he proposed a far reaching amendment to the Maryland Constitution that was approved by the city of Baltimore voters to limit the city's ability to annex portions of Baltimore County, something that was previously a right of the city. This amendment, Question 5, was approved on November 2, 1948 by a majority of the city voters: 139,974 to 103,687.
After Congress, Bolton served as director of Baltimore County Civil Defense in 1951, and died in Baltimore in 1964. He is interred in Mount Maria Cemetery of Towson. | William P. Bolton (July 2, 1885 – November 22, 1964) was a one-term U.S. Congressman who represented the second district of Maryland from 1949 to 1951 until defeated by Republican General James Devereux.
After Congress, Bolton served as director of Baltimore County Civil Defense in 1951, and died in Baltimore in 1964. He is interred in Mount Maria Cemetery of Towson. | summarization | ### Instruction: Who was William P. Bolton
### Context: William P. Bolton (July 2, 1885 – November 22, 1964) was a one-term U.S. Congressman who represented the second district of Maryland from 1949 to 1951 until defeated by Republican General James Devereux.
Born near Whiteford, Maryland, Bolton attended the public schools and St. Francis Parochial School in Baltimore County, Maryland. He graduated from the University of Baltimore Law School in 1909, and became a lawyer in private practice. He served as trial magistrate in Towson, Maryland from 1941-1946.
Bolton served in the Maryland State Senate from 1946 to 1948. He was elected as a Democrat to the Eighty-first Congress, serving from January 3, 1949 to January 3, 1951. He was an unsuccessful candidate for reelection to the Eighty-second Congress in 1950 and again in 1954.
During his short time in the Maryland Senate he proposed a far reaching amendment to the Maryland Constitution that was approved by the city of Baltimore voters to limit the city's ability to annex portions of Baltimore County, something that was previously a right of the city. This amendment, Question 5, was approved on November 2, 1948 by a majority of the city voters: 139,974 to 103,687.
After Congress, Bolton served as director of Baltimore County Civil Defense in 1951, and died in Baltimore in 1964. He is interred in Mount Maria Cemetery of Towson.
### Answer: William P. Bolton (July 2, 1885 – November 22, 1964) was a one-term U.S. Congressman who represented the second district of Maryland from 1949 to 1951 until defeated by Republican General James Devereux.
After Congress, Bolton served as director of Baltimore County Civil Defense in 1951, and died in Baltimore in 1964. He is interred in Mount Maria Cemetery of Towson.</s> |
What kind of language is Shauraseni Prakrit | Shauraseni Prakrit (Sanskrit: शौरसेनी प्राकृत, Śaurasenī Prākṛta) was a Middle Indo-Aryan language and a Dramatic Prakrit. Shauraseni was the chief language used in drama in medieval northern India. Most of the material in this language originates from the 3rd to 10th centuries, though it was probably a spoken vernacular around the 2nd century BCE in the ancient state of Surasena. Among the Prakrits, Shauraseni is said to be the one most closely related to Classical Sanskrit in that it "is derived from the Old Indian Indo-Aryan dialect of the Madhyadeśa on which Classical Sanskrit was mainly based.": 3–4 Its descendants include the languages of the Hindi Belt, the Central Zone of modern Indo-Aryan or Hindi languages, the standard registers of the Hindustani language based on the Delhi dialect. | Shauraseni Prakrit was a Middle Indo-Aryan language and a Dramatic Prakrit. Shauraseni was the chief language used in drama in medieval northern India. Most of the material in this language originates from the 3rd to 10th centuries, though it was probably a spoken vernacular around the 2nd century BCE in the ancient state of Surasena.
Among the Prakrits, Shauraseni is said to be the one most closely related to Classical Sanskrit in that it is derived from the Old Indian Indo-Aryan dialect of the Madhyadesa on which Classical Sanskrit was mainly based. Its descendants include the languages of the Hindi Belt, the Central Zone of modern Indo-Aryan or Hindi languages, the standard registers of the Hindustani language based on the Delhi dialect. | summarization | ### Instruction: What kind of language is Shauraseni Prakrit
### Context: Shauraseni Prakrit (Sanskrit: शौरसेनी प्राकृत, Śaurasenī Prākṛta) was a Middle Indo-Aryan language and a Dramatic Prakrit. Shauraseni was the chief language used in drama in medieval northern India. Most of the material in this language originates from the 3rd to 10th centuries, though it was probably a spoken vernacular around the 2nd century BCE in the ancient state of Surasena. Among the Prakrits, Shauraseni is said to be the one most closely related to Classical Sanskrit in that it "is derived from the Old Indian Indo-Aryan dialect of the Madhyadeśa on which Classical Sanskrit was mainly based.": 3–4 Its descendants include the languages of the Hindi Belt, the Central Zone of modern Indo-Aryan or Hindi languages, the standard registers of the Hindustani language based on the Delhi dialect.
### Answer: Shauraseni Prakrit was a Middle Indo-Aryan language and a Dramatic Prakrit. Shauraseni was the chief language used in drama in medieval northern India. Most of the material in this language originates from the 3rd to 10th centuries, though it was probably a spoken vernacular around the 2nd century BCE in the ancient state of Surasena.
Among the Prakrits, Shauraseni is said to be the one most closely related to Classical Sanskrit in that it is derived from the Old Indian Indo-Aryan dialect of the Madhyadesa on which Classical Sanskrit was mainly based. Its descendants include the languages of the Hindi Belt, the Central Zone of modern Indo-Aryan or Hindi languages, the standard registers of the Hindustani language based on the Delhi dialect.</s> |
What is dhollywood? | Gujarati cinema, also known as Dhollywood, is the Gujarati language film industry. It is one of the major regional and vernacular film industries of the cinema of India, having produced more than one thousand films since its inception. | Dhollywood is a nickname for movies made by Gujarati cinema in India. | summarization | ### Instruction: What is dhollywood?
### Context: Gujarati cinema, also known as Dhollywood, is the Gujarati language film industry. It is one of the major regional and vernacular film industries of the cinema of India, having produced more than one thousand films since its inception.
### Answer: Dhollywood is a nickname for movies made by Gujarati cinema in India.</s> |
Who is Anatoly Kubatsky? | Anatoly Lvovich Kubatsky (Russian: Анато́лий Льво́вич Куба́цкий) (1 November 1908 – 29 December 2001) was a Soviet stage and film actor. | Kubatsky was born in Moscow to parents of Polish ancestry. After studying under Yuri Zavadsky, he found acting work in various theaters throughout Moscow. From 1931 to 1942 he was an actor for Union Radio; from 1942 to 1957 he worked at the Mayakovsky Theatre; from 1957 to 1959 he worked at the Film Actors' Theater; from 1959 to 1973 he worked at the Gorky Theater. | summarization | ### Instruction: Who is Anatoly Kubatsky?
### Context: Anatoly Lvovich Kubatsky (Russian: Анато́лий Льво́вич Куба́цкий) (1 November 1908 – 29 December 2001) was a Soviet stage and film actor.
### Answer: Kubatsky was born in Moscow to parents of Polish ancestry. After studying under Yuri Zavadsky, he found acting work in various theaters throughout Moscow. From 1931 to 1942 he was an actor for Union Radio; from 1942 to 1957 he worked at the Mayakovsky Theatre; from 1957 to 1959 he worked at the Film Actors' Theater; from 1959 to 1973 he worked at the Gorky Theater.</s> |
Summarize the types of propaganda students distributed during the Tiananmen Square protests and massacre in a bulleted list. | During the 1989 Tiananmen Square protests and massacre student demonstrators created and distributed a large variety of propaganda. The first of these were memorial posters dedicated to Hu Yaobang, which were placed in Peking University following his death on Saturday April 15, 1989. On April 16th and 17th, pamphlets, leaflets and other forms of propaganda began to be distributed by university students both in Peking University and at Tiananmen Square where large congregations of students began to form in what became the beginning stages of the protest. These were used to communicate among the students as well as to spread their messages and demands to groups such as the Chinese government and foreign media. Other forms of propaganda would emerge as the protests continued, such as a hunger strike beginning on May 13 and visits from celebrities and intellectuals, as well as speeches and songs. All of these were used to promote the interests of the student protest movement. | The following are types of propaganda students distributed during the Tiananmen Square protests and massacre:
- Memorial posters dedicated to Hu Yaobang
- Hunger strike
- Visits from celebrities and intellectuals
- Speeches and songs | summarization | ### Instruction: Summarize the types of propaganda students distributed during the Tiananmen Square protests and massacre in a bulleted list.
### Context: During the 1989 Tiananmen Square protests and massacre student demonstrators created and distributed a large variety of propaganda. The first of these were memorial posters dedicated to Hu Yaobang, which were placed in Peking University following his death on Saturday April 15, 1989. On April 16th and 17th, pamphlets, leaflets and other forms of propaganda began to be distributed by university students both in Peking University and at Tiananmen Square where large congregations of students began to form in what became the beginning stages of the protest. These were used to communicate among the students as well as to spread their messages and demands to groups such as the Chinese government and foreign media. Other forms of propaganda would emerge as the protests continued, such as a hunger strike beginning on May 13 and visits from celebrities and intellectuals, as well as speeches and songs. All of these were used to promote the interests of the student protest movement.
### Answer: The following are types of propaganda students distributed during the Tiananmen Square protests and massacre:
- Memorial posters dedicated to Hu Yaobang
- Hunger strike
- Visits from celebrities and intellectuals
- Speeches and songs</s> |
Based on the reference text, provide a bulleted list of the three stages of ISO 27001 Certification and the activities of each stage. | SO/IEC 27001 is an international standard to manage information security. The standard was originally published jointly by the International Organization for Standardization (ISO) and the International Electrotechnical Commission (IEC) in 2005, revised in 2013, and again most recently in 2022. There are also numerous recognized national variants of the standard. It details requirements for establishing, implementing, maintaining and continually improving an information security management system (ISMS) – the aim of which is to help organizations make the information assets they hold more secure. Organizations that meet the standard's requirements can choose to be certified by an accredited certification body following successful completion of an audit. The effectiveness of the ISO/IEC 27001 certification process and the overall standard has been addressed in a large-scale study conducted in 2020.
How the standard works
Most organizations have a number of information security controls. However, without an information security management system (ISMS), controls tend to be somewhat disorganized and disjointed, having been implemented often as point solutions to specific situations or simply as a matter of convention. Security controls in operation typically address certain aspects of information technology (IT) or data security specifically; leaving non-IT information assets (such as paperwork and proprietary knowledge) less protected on the whole. Moreover, business continuity planning and physical security may be managed quite independently of IT or information security while Human Resources practices may make little reference to the need to define and assign information security roles and responsibilities throughout the organization.
ISO/IEC 27001 requires that management:
Systematically examine the organization's information security risks, taking account of the threats, vulnerabilities, and impacts;
Design and implement a coherent and comprehensive suite of information security controls and/or other forms of risk treatment (such as risk avoidance or risk transfer) to address those risks that are deemed unacceptable; and
Adopt an overarching management process to ensure that the information security controls continue to meet the organization's information security needs on an ongoing basis.
What controls will be tested as part of certification to ISO/IEC 27001 is dependent on the certification auditor. This can include any controls that the organisation has deemed to be within the scope of the ISMS and this testing can be to any depth or extent as assessed by the auditor as needed to test that the control has been implemented and is operating effectively.
Management determines the scope of the ISMS for certification purposes and may limit it to, say, a single business unit or location. The ISO/IEC 27001 certificate does not necessarily mean the remainder of the organization, outside the scoped area, has an adequate approach to information security management.
Other standards in the ISO/IEC 27000 family of standards provide additional guidance on certain aspects of designing, implementing and operating an ISMS, for example on information security risk management (ISO/IEC 27005).
History of ISO/IEC 27001
BS 7799 was a standard originally published by BSI Group in 1995. It was written by the UK government's Department of Trade and Industry (DTI) and consisted of several parts.
The first part, containing the best practices for information security management, was revised in 1998; after a lengthy discussion in the worldwide standards bodies, it was eventually adopted by ISO as ISO/IEC 17799, "Information Technology - Code of practice for information security management." in 2000. ISO/IEC 17799 was then revised in June 2005 and finally incorporated in the ISO 27000 series of standards as ISO/IEC 27002 in July 2007.
The second part of BS7799 was first published by BSI in 1999, known as BS 7799 Part 2, titled "Information Security Management Systems - Specification with guidance for use." BS 7799-2 focused on how to implement an Information security management system (ISMS), referring to the information security management structure and controls identified in BS 7799-2. This later became ISO/IEC 27001:2005. BS 7799 Part 2 was adopted by ISO as ISO/IEC 27001 in November 2005.
BS 7799 Part 3 was published in 2005, covering risk analysis and management. It aligns with ISO/IEC 27001:2005.
Very little reference or use is made to any of the BS standards in connection with ISO/IEC 27001.
Certification
An ISMS may be certified compliant with the ISO/IEC 27001 standard by a number of Accredited Registrars worldwide. Certification against any of the recognized national variants of ISO/IEC 27001 (e.g. JIS Q 27001, the Japanese version) by an accredited certification body is functionally equivalent to certification against ISO/IEC 27001 itself.
In some countries, the bodies that verify conformity of management systems to specified standards are called "certification bodies", while in others they are commonly referred to as "registration bodies", "assessment and registration bodies", "certification/ registration bodies", and sometimes "registrars".
The ISO/IEC 27001 certification, like other ISO management system certifications, usually involves a three-stage external audit process defined by ISO/IEC 17021 and ISO/IEC 27006 standards:
Stage 1 is a preliminary, informal review of the ISMS. For example there are checks for the existence and completeness of key documentation, such as the organization's information security policy, Statement of Applicability (SoA), and Risk Treatment Plan (RTP). This stage serves to familiarize the auditors with the organization and vice versa.
Stage 2 is a more detailed and formal compliance audit, independently testing the ISMS against the requirements specified in ISO/IEC 27001. The auditors will seek evidence to confirm that the management system has been properly designed and implemented, and is in fact in operation (for example by confirming that a security committee or similar management body meets regularly to oversee the ISMS). Certification audits are usually conducted by ISO/IEC 27001 Lead Auditors. Passing this stage results in the ISMS being certified compliant with ISO/IEC 27001.
Ongoing involves follow-up reviews or audits to confirm that the organization remains in compliance with the standard. Certification maintenance requires periodic re-assessment audits to confirm that the ISMS continues to operate as specified and intended. These should happen at least annually but (by agreement with management) are often conducted more frequently, particularly while the ISMS is still maturing. | The following are the three stages of ISO 27001 certification:
1. Stage 1: A preliminary, informal review of the Information Security Management System. Activities include checking for existence and completeness of primary documentation.
2. Stage 2: A detailed and formal audit performed by a third party to validate adequate implementation of the requirements specified in ISO 27001
3. Ongoing: Follow-up reviews and audits to confirm continued compliance with the requirements of ISO 27001. | summarization | ### Instruction: Based on the reference text, provide a bulleted list of the three stages of ISO 27001 Certification and the activities of each stage.
### Context: SO/IEC 27001 is an international standard to manage information security. The standard was originally published jointly by the International Organization for Standardization (ISO) and the International Electrotechnical Commission (IEC) in 2005, revised in 2013, and again most recently in 2022. There are also numerous recognized national variants of the standard. It details requirements for establishing, implementing, maintaining and continually improving an information security management system (ISMS) – the aim of which is to help organizations make the information assets they hold more secure. Organizations that meet the standard's requirements can choose to be certified by an accredited certification body following successful completion of an audit. The effectiveness of the ISO/IEC 27001 certification process and the overall standard has been addressed in a large-scale study conducted in 2020.
How the standard works
Most organizations have a number of information security controls. However, without an information security management system (ISMS), controls tend to be somewhat disorganized and disjointed, having been implemented often as point solutions to specific situations or simply as a matter of convention. Security controls in operation typically address certain aspects of information technology (IT) or data security specifically; leaving non-IT information assets (such as paperwork and proprietary knowledge) less protected on the whole. Moreover, business continuity planning and physical security may be managed quite independently of IT or information security while Human Resources practices may make little reference to the need to define and assign information security roles and responsibilities throughout the organization.
ISO/IEC 27001 requires that management:
Systematically examine the organization's information security risks, taking account of the threats, vulnerabilities, and impacts;
Design and implement a coherent and comprehensive suite of information security controls and/or other forms of risk treatment (such as risk avoidance or risk transfer) to address those risks that are deemed unacceptable; and
Adopt an overarching management process to ensure that the information security controls continue to meet the organization's information security needs on an ongoing basis.
What controls will be tested as part of certification to ISO/IEC 27001 is dependent on the certification auditor. This can include any controls that the organisation has deemed to be within the scope of the ISMS and this testing can be to any depth or extent as assessed by the auditor as needed to test that the control has been implemented and is operating effectively.
Management determines the scope of the ISMS for certification purposes and may limit it to, say, a single business unit or location. The ISO/IEC 27001 certificate does not necessarily mean the remainder of the organization, outside the scoped area, has an adequate approach to information security management.
Other standards in the ISO/IEC 27000 family of standards provide additional guidance on certain aspects of designing, implementing and operating an ISMS, for example on information security risk management (ISO/IEC 27005).
History of ISO/IEC 27001
BS 7799 was a standard originally published by BSI Group in 1995. It was written by the UK government's Department of Trade and Industry (DTI) and consisted of several parts.
The first part, containing the best practices for information security management, was revised in 1998; after a lengthy discussion in the worldwide standards bodies, it was eventually adopted by ISO as ISO/IEC 17799, "Information Technology - Code of practice for information security management." in 2000. ISO/IEC 17799 was then revised in June 2005 and finally incorporated in the ISO 27000 series of standards as ISO/IEC 27002 in July 2007.
The second part of BS7799 was first published by BSI in 1999, known as BS 7799 Part 2, titled "Information Security Management Systems - Specification with guidance for use." BS 7799-2 focused on how to implement an Information security management system (ISMS), referring to the information security management structure and controls identified in BS 7799-2. This later became ISO/IEC 27001:2005. BS 7799 Part 2 was adopted by ISO as ISO/IEC 27001 in November 2005.
BS 7799 Part 3 was published in 2005, covering risk analysis and management. It aligns with ISO/IEC 27001:2005.
Very little reference or use is made to any of the BS standards in connection with ISO/IEC 27001.
Certification
An ISMS may be certified compliant with the ISO/IEC 27001 standard by a number of Accredited Registrars worldwide. Certification against any of the recognized national variants of ISO/IEC 27001 (e.g. JIS Q 27001, the Japanese version) by an accredited certification body is functionally equivalent to certification against ISO/IEC 27001 itself.
In some countries, the bodies that verify conformity of management systems to specified standards are called "certification bodies", while in others they are commonly referred to as "registration bodies", "assessment and registration bodies", "certification/ registration bodies", and sometimes "registrars".
The ISO/IEC 27001 certification, like other ISO management system certifications, usually involves a three-stage external audit process defined by ISO/IEC 17021 and ISO/IEC 27006 standards:
Stage 1 is a preliminary, informal review of the ISMS. For example there are checks for the existence and completeness of key documentation, such as the organization's information security policy, Statement of Applicability (SoA), and Risk Treatment Plan (RTP). This stage serves to familiarize the auditors with the organization and vice versa.
Stage 2 is a more detailed and formal compliance audit, independently testing the ISMS against the requirements specified in ISO/IEC 27001. The auditors will seek evidence to confirm that the management system has been properly designed and implemented, and is in fact in operation (for example by confirming that a security committee or similar management body meets regularly to oversee the ISMS). Certification audits are usually conducted by ISO/IEC 27001 Lead Auditors. Passing this stage results in the ISMS being certified compliant with ISO/IEC 27001.
Ongoing involves follow-up reviews or audits to confirm that the organization remains in compliance with the standard. Certification maintenance requires periodic re-assessment audits to confirm that the ISMS continues to operate as specified and intended. These should happen at least annually but (by agreement with management) are often conducted more frequently, particularly while the ISMS is still maturing.
### Answer: The following are the three stages of ISO 27001 certification:
1. Stage 1: A preliminary, informal review of the Information Security Management System. Activities include checking for existence and completeness of primary documentation.
2. Stage 2: A detailed and formal audit performed by a third party to validate adequate implementation of the requirements specified in ISO 27001
3. Ongoing: Follow-up reviews and audits to confirm continued compliance with the requirements of ISO 27001.</s> |
Who bred the famous Gone West racehorse? | Gone West (March 10, 1984 – September 7, 2009) was an American Thoroughbred racehorse. Bred by William O. Reed, he was a son of the influential sire Mr. Prospector. His dam, Secrettame, was a daughter of 1973 U.S. Triple Crown winner Secretariat.
Purchased by Alice du Pont Mills and raced under her Hickory Tree Stable banner, Gone West was conditioned for racing by U.S. Racing Hall of Fame trainer Woody Stephens. | Gone West was bread by William O. Reed, the son of the influential sire Mr. Prospector. | summarization | ### Instruction: Who bred the famous Gone West racehorse?
### Context: Gone West (March 10, 1984 – September 7, 2009) was an American Thoroughbred racehorse. Bred by William O. Reed, he was a son of the influential sire Mr. Prospector. His dam, Secrettame, was a daughter of 1973 U.S. Triple Crown winner Secretariat.
Purchased by Alice du Pont Mills and raced under her Hickory Tree Stable banner, Gone West was conditioned for racing by U.S. Racing Hall of Fame trainer Woody Stephens.
### Answer: Gone West was bread by William O. Reed, the son of the influential sire Mr. Prospector.</s> |
Who are the CEO of National Association of Broadcasters | The National Association of Broadcasters (NAB) is a trade association and lobby group representing the interests of commercial and non-commercial over-the-air radio and television broadcasters in the United States. The NAB represents more than 8,300 terrestrial radio and television stations as well as broadcast networks.
As of 2022, the president and CEO of the NAB is Curtis LeGeyt.
Founding
NAB headquarters in Washington, D.C.
The NAB was founded as the National Association of Radio Broadcasters (NARB) in April 1923 at the Drake Hotel in Chicago. The association's founder and first president was Eugene F. McDonald Jr., who also launched the Zenith corporation. In 1951 it changed its name to the National Association of Radio and Television Broadcasters (NARTB) to include the television industry. In 1958 it adopted its current name, "National Association of Broadcasters".
Commercial radio
The NAB worked to establish a commercial radio system in the United States. The system was set up in August 1928 with the establishment of General Order 40—a radio reallocation scheme by the Federal Radio Commission which awarded the choicest frequencies and broadcast times to the then-emerging commercial radio industry. In the wake of General Order 40, a loose coalition of educators, nonprofit broadcasters, labor unions, and religious groups coalesced to oppose the NAB and their allies through the 1920s and 1930s, and to develop a public, nonprofit, license-funded radio system without commercials (similar to what happened with the BBC). The coalition claimed that the commercial industry would only promote profitable programming, thereby reducing the quality and future potential of radio broadcasting.
Not having the political connections, resources, or publicity of the NAB and the commercial radio industry, the non-profit coalition eventually lost the fight with the passage of the Communications Act of 1934.
The National Independent Broadcasters were formed in 1939 as part of the NAB, to represent stations that were not associated with any network, but the group split off in 1941.
Satellite radio
Many satellite radio enthusiasts have criticized the NAB for lobbying against legislation approvals for those services. The NAB protested the FCC's approval of both satellite radio services in the United States—XM and Sirius—and furthermore criticized the 2008 merger of the two companies, calling the merged company a "potential monopoly".
Digital transition
In 2005, the NAB, together with the Association for Maximum Service Television Stations, Inc. (MSTV), commenced development of a prototype high quality, low cost digital-to-analog converter box for terrestrial digital television reception. The result of this project was a specification for the converter box, which was then adopted by the National Telecommunications and Information Administration as a technical requirement for eligible converter boxes for the Administration's Digital-to-Analog Converter Box Coupon Program.
White space
The NAB has lobbied against the use of white spaces, unused broadcast spectrum lying between broadcast channels, for wireless broadband internet and other digital use. The NAB has claimed that use of white space will interfere with existing broadcast spectrum, even though tests by the Federal Communications Commission at levels far stronger than that being advocated for in policy circles have not supported such claims. Indeed, the FCC has recommended the use of white spaces for broadband and other digital use. In 2011 the NAB funded an advertising campaign titled "The Future of TV", advocating for the private ownership of the spectrum, framed as a threat to free television.
Free TV campaign
In mid-2014, an NAB advertising campaign against a Congressional threat appeared, advocating viewers to defeat a cable-TV lobby.
Similar organizations
Organizations similar to the NAB exist in individual U.S. states, including Georgia Association of Broadcasters (GAB) in Georgia, and the Illinois Broadcasters Association (IBA), in Illinois. In Canada, the Canadian Association of Broadcasters (CAB) has a similar role. | As of 2022, the president and CEO of the NAB is Curtis LeGeyt | summarization | ### Instruction: Who are the CEO of National Association of Broadcasters
### Context: The National Association of Broadcasters (NAB) is a trade association and lobby group representing the interests of commercial and non-commercial over-the-air radio and television broadcasters in the United States. The NAB represents more than 8,300 terrestrial radio and television stations as well as broadcast networks.
As of 2022, the president and CEO of the NAB is Curtis LeGeyt.
Founding
NAB headquarters in Washington, D.C.
The NAB was founded as the National Association of Radio Broadcasters (NARB) in April 1923 at the Drake Hotel in Chicago. The association's founder and first president was Eugene F. McDonald Jr., who also launched the Zenith corporation. In 1951 it changed its name to the National Association of Radio and Television Broadcasters (NARTB) to include the television industry. In 1958 it adopted its current name, "National Association of Broadcasters".
Commercial radio
The NAB worked to establish a commercial radio system in the United States. The system was set up in August 1928 with the establishment of General Order 40—a radio reallocation scheme by the Federal Radio Commission which awarded the choicest frequencies and broadcast times to the then-emerging commercial radio industry. In the wake of General Order 40, a loose coalition of educators, nonprofit broadcasters, labor unions, and religious groups coalesced to oppose the NAB and their allies through the 1920s and 1930s, and to develop a public, nonprofit, license-funded radio system without commercials (similar to what happened with the BBC). The coalition claimed that the commercial industry would only promote profitable programming, thereby reducing the quality and future potential of radio broadcasting.
Not having the political connections, resources, or publicity of the NAB and the commercial radio industry, the non-profit coalition eventually lost the fight with the passage of the Communications Act of 1934.
The National Independent Broadcasters were formed in 1939 as part of the NAB, to represent stations that were not associated with any network, but the group split off in 1941.
Satellite radio
Many satellite radio enthusiasts have criticized the NAB for lobbying against legislation approvals for those services. The NAB protested the FCC's approval of both satellite radio services in the United States—XM and Sirius—and furthermore criticized the 2008 merger of the two companies, calling the merged company a "potential monopoly".
Digital transition
In 2005, the NAB, together with the Association for Maximum Service Television Stations, Inc. (MSTV), commenced development of a prototype high quality, low cost digital-to-analog converter box for terrestrial digital television reception. The result of this project was a specification for the converter box, which was then adopted by the National Telecommunications and Information Administration as a technical requirement for eligible converter boxes for the Administration's Digital-to-Analog Converter Box Coupon Program.
White space
The NAB has lobbied against the use of white spaces, unused broadcast spectrum lying between broadcast channels, for wireless broadband internet and other digital use. The NAB has claimed that use of white space will interfere with existing broadcast spectrum, even though tests by the Federal Communications Commission at levels far stronger than that being advocated for in policy circles have not supported such claims. Indeed, the FCC has recommended the use of white spaces for broadband and other digital use. In 2011 the NAB funded an advertising campaign titled "The Future of TV", advocating for the private ownership of the spectrum, framed as a threat to free television.
Free TV campaign
In mid-2014, an NAB advertising campaign against a Congressional threat appeared, advocating viewers to defeat a cable-TV lobby.
Similar organizations
Organizations similar to the NAB exist in individual U.S. states, including Georgia Association of Broadcasters (GAB) in Georgia, and the Illinois Broadcasters Association (IBA), in Illinois. In Canada, the Canadian Association of Broadcasters (CAB) has a similar role.
### Answer: As of 2022, the president and CEO of the NAB is Curtis LeGeyt</s> |
Using examples taken from the text give me a summary of the main arguments in favour of slavery reparations in the United States and the anticipated cost of enacting such reparations | Slavery ended in the United States in 1865 with the end of the American Civil War and the ratification of the Thirteenth Amendment to the United States Constitution, which declared that "Neither slavery nor involuntary servitude, except as a punishment for crime whereof the party shall have been duly convicted, shall exist within the United States, or any place subject to their jurisdiction". At that time, an estimated four million African Americans were set free.
Support for reparations
Within the political sphere, a bill demanding slavery reparations has been proposed at the national level, the "Commission to Study and Develop Reparation Proposals for African-Americans Act," which former Rep. John Conyers Jr. (D-MI) reintroduced to the United States Congress every year from 1989 until his resignation in 2017. As its name suggests, the bill recommended the creation of a commission to study the "impact of slavery on the social, political and economic life of our nation"., however there are cities and institutions which have initiated reparations in the US (see § Legislation and other actions for a list).
In 1999, African-American lawyer and activist Randall Robinson, founder of the TransAfrica advocacy organization, wrote that America's history of race riots, lynching, and institutional discrimination have "resulted in $1.4 trillion in losses for African Americans". Economist Robert Browne stated the ultimate goal of reparations should be to "restore the black community to the economic position it would have if it had not been subjected to slavery and discrimination". He estimates a fair reparation value anywhere between $1.4 to $4.7 trillion, or roughly $142,000 (equivalent to $162,000 in 2021) for every black American living today. Other estimates range from $5.7 to $14.2 and $17.1 trillion.
In 2014, American journalist Ta-Nehisi Coates published an article titled "The Case for Reparations", which discussed the continued effects of slavery and Jim Crow laws and made renewed demands for reparations. Coates refers to Rep. John Conyers Jr.'s H.R.40 Bill, pointing out that Congress's failure to pass this bill expresses a lack of willingness to right their past wrongs.
In September 2016, the United Nations' Working Group of Experts on People of African Descent encouraged Congress to pass H.R.40 to study reparations proposals. Still, the Working Group did not directly endorse any specific reparations proposal. The report noted that there exists a legacy of racial inequality in the United States, explaining that "Despite substantial changes since the end of the enforcement of Jim Crow and the fight for civil rights, ideology ensuring the domination of one group over another, continues to negatively impact the civil, political, economic, social and cultural rights of African Americans today." The report notes that a "dangerous ideology of white supremacy inhibits social cohesion among the US population".
The topic of reparations gained renewed attention in 2020 as the Black Lives Matter movement named reparations as one of their policy goals in the United States.
In 2020, rapper T.I. supported reparations that would give every African American US$1 million and asserted that slavery caused mass incarcerations, poverty, and other ills. | In spite of progressive changes since the end of enforcement of Jim Crow and the successes of the fight for civil rights there are still inherent racial inequalities in the USA which negatively affect the civil, political, economic, social and cultural rights of African Americans today. A United Nations report of 2016 did not endorse a specific reparations proposal, but did call out that there is an ideology of white supremacy present in the population of the United States that inhibits social cohesion. Further arguments have been made identifying slavery as a cause of mass incarcerations, poverty and other ills that affect today’s African Americans.
It could be argued that there is an inherent acknowledgement that the case exists to examine the impact of slavery on the social, political and economic life of the United States in the annual submission to Congress of the "Commission to Study and Develop Reparation Proposals for African-Americans Act”. There are also individual cities within the USA which have instituted reparations. Estimates of the cost to African Americans of the United States’ history of discrimination have been estimated variously at $1.4 trillion, $4.7 trillion, $5.7 trillion, $14.2 trillion and $17.1 trillion. These estimates express the projected cost in $ to restore the black community to the economic position it would have if it had not been subjected to slavery and discrimination. | summarization | ### Instruction: Using examples taken from the text give me a summary of the main arguments in favour of slavery reparations in the United States and the anticipated cost of enacting such reparations
### Context: Slavery ended in the United States in 1865 with the end of the American Civil War and the ratification of the Thirteenth Amendment to the United States Constitution, which declared that "Neither slavery nor involuntary servitude, except as a punishment for crime whereof the party shall have been duly convicted, shall exist within the United States, or any place subject to their jurisdiction". At that time, an estimated four million African Americans were set free.
Support for reparations
Within the political sphere, a bill demanding slavery reparations has been proposed at the national level, the "Commission to Study and Develop Reparation Proposals for African-Americans Act," which former Rep. John Conyers Jr. (D-MI) reintroduced to the United States Congress every year from 1989 until his resignation in 2017. As its name suggests, the bill recommended the creation of a commission to study the "impact of slavery on the social, political and economic life of our nation"., however there are cities and institutions which have initiated reparations in the US (see § Legislation and other actions for a list).
In 1999, African-American lawyer and activist Randall Robinson, founder of the TransAfrica advocacy organization, wrote that America's history of race riots, lynching, and institutional discrimination have "resulted in $1.4 trillion in losses for African Americans". Economist Robert Browne stated the ultimate goal of reparations should be to "restore the black community to the economic position it would have if it had not been subjected to slavery and discrimination". He estimates a fair reparation value anywhere between $1.4 to $4.7 trillion, or roughly $142,000 (equivalent to $162,000 in 2021) for every black American living today. Other estimates range from $5.7 to $14.2 and $17.1 trillion.
In 2014, American journalist Ta-Nehisi Coates published an article titled "The Case for Reparations", which discussed the continued effects of slavery and Jim Crow laws and made renewed demands for reparations. Coates refers to Rep. John Conyers Jr.'s H.R.40 Bill, pointing out that Congress's failure to pass this bill expresses a lack of willingness to right their past wrongs.
In September 2016, the United Nations' Working Group of Experts on People of African Descent encouraged Congress to pass H.R.40 to study reparations proposals. Still, the Working Group did not directly endorse any specific reparations proposal. The report noted that there exists a legacy of racial inequality in the United States, explaining that "Despite substantial changes since the end of the enforcement of Jim Crow and the fight for civil rights, ideology ensuring the domination of one group over another, continues to negatively impact the civil, political, economic, social and cultural rights of African Americans today." The report notes that a "dangerous ideology of white supremacy inhibits social cohesion among the US population".
The topic of reparations gained renewed attention in 2020 as the Black Lives Matter movement named reparations as one of their policy goals in the United States.
In 2020, rapper T.I. supported reparations that would give every African American US$1 million and asserted that slavery caused mass incarcerations, poverty, and other ills.
### Answer: In spite of progressive changes since the end of enforcement of Jim Crow and the successes of the fight for civil rights there are still inherent racial inequalities in the USA which negatively affect the civil, political, economic, social and cultural rights of African Americans today. A United Nations report of 2016 did not endorse a specific reparations proposal, but did call out that there is an ideology of white supremacy present in the population of the United States that inhibits social cohesion. Further arguments have been made identifying slavery as a cause of mass incarcerations, poverty and other ills that affect today’s African Americans.
It could be argued that there is an inherent acknowledgement that the case exists to examine the impact of slavery on the social, political and economic life of the United States in the annual submission to Congress of the "Commission to Study and Develop Reparation Proposals for African-Americans Act”. There are also individual cities within the USA which have instituted reparations. Estimates of the cost to African Americans of the United States’ history of discrimination have been estimated variously at $1.4 trillion, $4.7 trillion, $5.7 trillion, $14.2 trillion and $17.1 trillion. These estimates express the projected cost in $ to restore the black community to the economic position it would have if it had not been subjected to slavery and discrimination.</s> |
Give a bulleted list of the main characteristic of metals listed in the passage | Metals are typically malleable and ductile, deforming under stress without cleaving.The nondirectional nature of metallic bonding is thought to contribute significantly to the ductility of most metallic solids. In contrast, in an ionic compound like table salt, when the planes of an ionic bond slide past one another, the resultant change in location shifts ions of the same charge closer, resulting in the cleavage of the crystal. Such a shift is not observed in a covalently bonded crystal, such as a diamond, where fracture and crystal fragmentation occurs. Reversible elastic deformation in metals can be described by Hooke's Law for restoring forces, where the stress is linearly proportional to the strain. | - Malleable
- Ductile
- Deforming under stress without cleaving | summarization | ### Instruction: Give a bulleted list of the main characteristic of metals listed in the passage
### Context: Metals are typically malleable and ductile, deforming under stress without cleaving.The nondirectional nature of metallic bonding is thought to contribute significantly to the ductility of most metallic solids. In contrast, in an ionic compound like table salt, when the planes of an ionic bond slide past one another, the resultant change in location shifts ions of the same charge closer, resulting in the cleavage of the crystal. Such a shift is not observed in a covalently bonded crystal, such as a diamond, where fracture and crystal fragmentation occurs. Reversible elastic deformation in metals can be described by Hooke's Law for restoring forces, where the stress is linearly proportional to the strain.
### Answer: - Malleable
- Ductile
- Deforming under stress without cleaving</s> |
In Frank Herbert's Dune novel, why is the spice valuable? | Sandworms are colossal, worm-like creatures that live on the desert planet Arrakis. The sandworms' larvae produce a drug called melange (known colloquially as "the spice"), the most essential and valuable commodity in the universe because it makes safe and accurate interstellar travel possible. Melange deposits are found in the sand seas of Arrakis, where the sandworms live and hunt, and harvesting the spice from the sand is a dangerous activity because sandworms are aggressive and territorial. Harvesting vehicles must be airlifted in and out of the sand sea in order to evade sandworm attacks. The struggle over the production and supply of melange is a central theme of the Dune saga. | The spice is valuable because it is a scarce resource that is crucial to interstellar travel. The spice is scarce because it can be found only on planet Arrakis, and its extraction is difficult due to the presence of sandorms. | summarization | ### Instruction: In Frank Herbert's Dune novel, why is the spice valuable?
### Context: Sandworms are colossal, worm-like creatures that live on the desert planet Arrakis. The sandworms' larvae produce a drug called melange (known colloquially as "the spice"), the most essential and valuable commodity in the universe because it makes safe and accurate interstellar travel possible. Melange deposits are found in the sand seas of Arrakis, where the sandworms live and hunt, and harvesting the spice from the sand is a dangerous activity because sandworms are aggressive and territorial. Harvesting vehicles must be airlifted in and out of the sand sea in order to evade sandworm attacks. The struggle over the production and supply of melange is a central theme of the Dune saga.
### Answer: The spice is valuable because it is a scarce resource that is crucial to interstellar travel. The spice is scarce because it can be found only on planet Arrakis, and its extraction is difficult due to the presence of sandorms.</s> |
Are Schindler elevators safe | Schindler Holding Ltd. is a Swiss multinational company which manufactures escalators, moving walkways, and elevators worldwide, founded in Switzerland in 1874. Schindler produces, installs, maintains and modernizes lifts and escalators in many types of buildings including residential, commercial and high-rise buildings.
The company is present in over 140 countries and employs more than 66,000 people worldwide. The production facilities are located in Brazil, China, Slovakia, Spain, Switzerland, India and the United States. All operations and subsidiaries of Schindler Group are organised into Schindler Holding Ltd. (German: Schindler Holding AG, French: Schindler Holding S.A.), which is publicly traded on SIX Swiss Exchange. | Schindler Holding Ltd. is a Swiss multinational company which manufactures escalators, moving walkways, and elevators worldwide, founded in Switzerland in 1874. Schindler produces, installs, maintains and modernizes lifts and escalators in many types of buildings including residential, commercial and high-rise buildings.
The company is present in over 140 countries and employs more than 66,000 people worldwide. The production facilities are located in Brazil, China, Slovakia, Spain, Switzerland, India and the United States. All operations and subsidiaries of Schindler Group are organised into Schindler Holding Ltd., which is publicly traded on SIX Swiss Exchange. | summarization | ### Instruction: Are Schindler elevators safe
### Context: Schindler Holding Ltd. is a Swiss multinational company which manufactures escalators, moving walkways, and elevators worldwide, founded in Switzerland in 1874. Schindler produces, installs, maintains and modernizes lifts and escalators in many types of buildings including residential, commercial and high-rise buildings.
The company is present in over 140 countries and employs more than 66,000 people worldwide. The production facilities are located in Brazil, China, Slovakia, Spain, Switzerland, India and the United States. All operations and subsidiaries of Schindler Group are organised into Schindler Holding Ltd. (German: Schindler Holding AG, French: Schindler Holding S.A.), which is publicly traded on SIX Swiss Exchange.
### Answer: Schindler Holding Ltd. is a Swiss multinational company which manufactures escalators, moving walkways, and elevators worldwide, founded in Switzerland in 1874. Schindler produces, installs, maintains and modernizes lifts and escalators in many types of buildings including residential, commercial and high-rise buildings.
The company is present in over 140 countries and employs more than 66,000 people worldwide. The production facilities are located in Brazil, China, Slovakia, Spain, Switzerland, India and the United States. All operations and subsidiaries of Schindler Group are organised into Schindler Holding Ltd., which is publicly traded on SIX Swiss Exchange.</s> |
Write some points about Ministry of Public Health (Thailand) using given text as a reference | In Thailand before 1888 there were no permanent, public hospitals to provide care to sick people. Temporary hospitals were set up to care for patients during epidemics, then disbanded when the epidemic subsided. Under King Chulalongkorn (Rama V) a hospital was constructed and completed in 1888 and named "Siriraj Hospital" in commemoration of the king's young son, Prince Siriraj Kakudhabhand, who had died of dysentery. King Vajiravudh, King Chulalongkorn's successor, established Department of Health on 27 November 1918.
During the reign of King Rama VIII, the Ministry of Public Health was established on 10 March 1942 as a result of the enactment of the Ministries and Departments Reorganization Act (Amendment No. 3) of B.E. 2485. Later in 1966, the date 27 November was chosen as the commemoration day of the Ministry of Public Health's foundation. | 1. There were no permanent public hospitals in Thailand prior to 1888 to care for the ill.
2. When an epidemic broke out, temporary hospitals were established to provide medical care for patients.
3. A hospital was built and finished in 1888 under King Chulalongkorn (Ram V), and given the name "Siriraj Hospital" in honour of the king's little son, Prince Siriraj Kakudhabhand, who had passed away from dysentery.
4. On November 27, 1918, King Vajiravudh, who succeeded King Chulalongkorn, created the Department of Health.
5. On March 10, 1942, under King Rama VIII, the Ministries and Departments Reorganization Act (Amendment No. 3) of B.E. 2485 was passed, which led to the creation of the Ministry of Public Health.
6. Later in 1966, the establishment of the Ministry of Public Health was commemorated on November 27. | summarization | ### Instruction: Write some points about Ministry of Public Health (Thailand) using given text as a reference
### Context: In Thailand before 1888 there were no permanent, public hospitals to provide care to sick people. Temporary hospitals were set up to care for patients during epidemics, then disbanded when the epidemic subsided. Under King Chulalongkorn (Rama V) a hospital was constructed and completed in 1888 and named "Siriraj Hospital" in commemoration of the king's young son, Prince Siriraj Kakudhabhand, who had died of dysentery. King Vajiravudh, King Chulalongkorn's successor, established Department of Health on 27 November 1918.
During the reign of King Rama VIII, the Ministry of Public Health was established on 10 March 1942 as a result of the enactment of the Ministries and Departments Reorganization Act (Amendment No. 3) of B.E. 2485. Later in 1966, the date 27 November was chosen as the commemoration day of the Ministry of Public Health's foundation.
### Answer: 1. There were no permanent public hospitals in Thailand prior to 1888 to care for the ill.
2. When an epidemic broke out, temporary hospitals were established to provide medical care for patients.
3. A hospital was built and finished in 1888 under King Chulalongkorn (Ram V), and given the name "Siriraj Hospital" in honour of the king's little son, Prince Siriraj Kakudhabhand, who had passed away from dysentery.
4. On November 27, 1918, King Vajiravudh, who succeeded King Chulalongkorn, created the Department of Health.
5. On March 10, 1942, under King Rama VIII, the Ministries and Departments Reorganization Act (Amendment No. 3) of B.E. 2485 was passed, which led to the creation of the Ministry of Public Health.
6. Later in 1966, the establishment of the Ministry of Public Health was commemorated on November 27.</s> |
What is the history of the national commission for aerospace research and development | The National Commission for Aerospace Research and Development (CONIDA) (Spanish: Comisión Nacional de Investigación y Desarrollo Aeroespacial) is a national space agency tasked with government space activities in Peru.
History
CONIDA was founded on 11 June 1974 following Decree Law 20643, designated to be an entity subordinate to then the Ministry of Aeronautics, which was later merged into the Ministry of Defense.
Peru joined the Asia-Pacific Space Cooperation Organization on 28 October 2005. | The National Commission for Aerospace Research and Development (CONIDA) is a national space agency tasked with government space activities in Peru.
CONIDA was founded on 11 June 1974 following Decree Law 20643, designated to be an entity subordinate to then the Ministry of Aeronautics, which was later merged into the Ministry of Defense.
Peru joined the Asia-Pacific Space Cooperation Organization on 28 October 2005. | summarization | ### Instruction: What is the history of the national commission for aerospace research and development
### Context: The National Commission for Aerospace Research and Development (CONIDA) (Spanish: Comisión Nacional de Investigación y Desarrollo Aeroespacial) is a national space agency tasked with government space activities in Peru.
History
CONIDA was founded on 11 June 1974 following Decree Law 20643, designated to be an entity subordinate to then the Ministry of Aeronautics, which was later merged into the Ministry of Defense.
Peru joined the Asia-Pacific Space Cooperation Organization on 28 October 2005.
### Answer: The National Commission for Aerospace Research and Development (CONIDA) is a national space agency tasked with government space activities in Peru.
CONIDA was founded on 11 June 1974 following Decree Law 20643, designated to be an entity subordinate to then the Ministry of Aeronautics, which was later merged into the Ministry of Defense.
Peru joined the Asia-Pacific Space Cooperation Organization on 28 October 2005.</s> |
What is the third limb of yoga? | sanas originated in India. In his Yoga Sutras, Patanjali (c. 2nd to 4th century CE) describes asana practice as the third of the eight limbs (Sanskrit: अष्टाङ्ग, aṣṭāṅga, from अष्ट् aṣṭ, eight, and अङ्ग aṅga, limb) of classical, or raja yoga. | The third limb of yoga is know as Asana. This refers to the physical practice of yoga, or the yoga postures. By putting the body into difficult positions you achieve several key benefits. The first is you are helping your body heal pain. If you want to meditate and work on healing your mind, you need to first heal your body. Otherwise your easily distracted mind will focus on pain in your body versus the pain in your mind. Secondly, commitment to the Asana will teach you the discipline your mind needs to heal. When going into uncomfortable situations, bad patterns in the mind often arise. Stepping into discomfort actually becomes an opportunity to study the mind and change patterns of response. | summarization | ### Instruction: What is the third limb of yoga?
### Context: sanas originated in India. In his Yoga Sutras, Patanjali (c. 2nd to 4th century CE) describes asana practice as the third of the eight limbs (Sanskrit: अष्टाङ्ग, aṣṭāṅga, from अष्ट् aṣṭ, eight, and अङ्ग aṅga, limb) of classical, or raja yoga.
### Answer: The third limb of yoga is know as Asana. This refers to the physical practice of yoga, or the yoga postures. By putting the body into difficult positions you achieve several key benefits. The first is you are helping your body heal pain. If you want to meditate and work on healing your mind, you need to first heal your body. Otherwise your easily distracted mind will focus on pain in your body versus the pain in your mind. Secondly, commitment to the Asana will teach you the discipline your mind needs to heal. When going into uncomfortable situations, bad patterns in the mind often arise. Stepping into discomfort actually becomes an opportunity to study the mind and change patterns of response.</s> |
How did Ella Tromp begin her political career? | Ella Tromp's political career began in 1989. She worked as an employee in the cabinet of the Prime Minister. On 9 March 1991 she was appointed Minister Plenipotentiary in the first cabinet of Nelson Oduber, a position which she held until 1 March 1993. She was the first woman in the history of the country to hold this position. She was also the first woman to be appointed as Minister of Finance, which she served as during Oduber's second cabinet. During her tenure as Minister of Finance, from 1993 to 1994, there was a quarrel between coalition members of the ruling government, which led to early elections and a shortened term. Despite this, she maintained firm control over government spending and for the first time in Aruba's status aparte period the country had a budget surplus. | Ella Tromp began her political career working in the cabinet of the Prime Minister in 1989. After two years she was appointed Minister Plenipotentiary in the first cabinet of Nelson Oduber, and was the first woman in the history of the country to hold that position. She then became the Minister of Finance in 1993, a role she served in until 1994. | summarization | ### Instruction: How did Ella Tromp begin her political career?
### Context: Ella Tromp's political career began in 1989. She worked as an employee in the cabinet of the Prime Minister. On 9 March 1991 she was appointed Minister Plenipotentiary in the first cabinet of Nelson Oduber, a position which she held until 1 March 1993. She was the first woman in the history of the country to hold this position. She was also the first woman to be appointed as Minister of Finance, which she served as during Oduber's second cabinet. During her tenure as Minister of Finance, from 1993 to 1994, there was a quarrel between coalition members of the ruling government, which led to early elections and a shortened term. Despite this, she maintained firm control over government spending and for the first time in Aruba's status aparte period the country had a budget surplus.
### Answer: Ella Tromp began her political career working in the cabinet of the Prime Minister in 1989. After two years she was appointed Minister Plenipotentiary in the first cabinet of Nelson Oduber, and was the first woman in the history of the country to hold that position. She then became the Minister of Finance in 1993, a role she served in until 1994.</s> |
Tell me about a Disk Manager | Disk Manager is a discontinued software (that was a popular 1980s and 1990s) and documentation package for MS-DOS and PC DOS computers, useful for self-installing personal computer hard disks. It was written by Ontrack, a company that is now part of KLDiscovery.
Installation covered different aspects:
explaining personal computer hardware concepts
documenting switches of many of the existing disks
putting into place custom device drivers which circumvented BIOS limitations, notably those related to maximum disk or partition size and logical block addressing
providing testing and informational utilities
Drivers could be either DOS-type, or replacement master boot record code.
Diskettes with Disk Manager were provided by some disk manufacturers (e.g. IBM), in custom OEM versions, supporting all of their models.
Not long after launching in 1985, Ontrack also started providing computer disk data recovery services as Ontrack Data Recovery. | Disk Manager is a discontinued software and documentation package for MS-DOS and PC DOS computers. It was written by Ontrack, a company that is now part of KLDiscovery. Diskettes with Disk Manager were provided by some disk manufacturers in custom OEM versions, supporting all of their models. | summarization | ### Instruction: Tell me about a Disk Manager
### Context: Disk Manager is a discontinued software (that was a popular 1980s and 1990s) and documentation package for MS-DOS and PC DOS computers, useful for self-installing personal computer hard disks. It was written by Ontrack, a company that is now part of KLDiscovery.
Installation covered different aspects:
explaining personal computer hardware concepts
documenting switches of many of the existing disks
putting into place custom device drivers which circumvented BIOS limitations, notably those related to maximum disk or partition size and logical block addressing
providing testing and informational utilities
Drivers could be either DOS-type, or replacement master boot record code.
Diskettes with Disk Manager were provided by some disk manufacturers (e.g. IBM), in custom OEM versions, supporting all of their models.
Not long after launching in 1985, Ontrack also started providing computer disk data recovery services as Ontrack Data Recovery.
### Answer: Disk Manager is a discontinued software and documentation package for MS-DOS and PC DOS computers. It was written by Ontrack, a company that is now part of KLDiscovery. Diskettes with Disk Manager were provided by some disk manufacturers in custom OEM versions, supporting all of their models.</s> |
Tell me about the plot of the book Cold Granite | Cold Granite is the debut novel written by Stuart MacBride. It features Detective Sergeant Logan McRae (who is later nicknamed "Lazarus") as its central character, who works for Grampian Police in Aberdeen, Scotland. Logan McRae went on to feature in a series of books which became a bestseller series for MacBride.
Plot
It is Logan McRae's first week back after being on sick leave for a year; courtesy of Angus Robertson (The Mastrick Monster) who carved him up with a knife. Someone is kidnapping children, murdering them and mutilating them afterwards. The local paper screams about police incompetence and is gunning for McRae's boss, Detective Inspector David Insch. McRae discovers that someone is leaking the stories to a journalist, Colin Miller, who inadvertently disrupts Grampian Polices' plans to apprehend the killer by revealing their plan to wait out in a secluded location which the killer thinks is safe.
McRae discovers that Miller's source is none other than his ex-girlfriend, Isobel McAlister, the police pathologist, who is now living with Miller and tells him about her day to unwind.
Meanwhile, the local council worker who removes all the dead animals from the roads (affectionately called "Roadkill") is found to have a dead girl in his tip and another dead girl is discovered on the local rubbish dump. | Cold Granite is the debut novel written by Stuart MacBride. It features Detective Sergeant Logan McRae (who is later nicknamed "Lazarus") as its central character, who works for Grampian Police in Aberdeen, Scotland. Logan McRae went on to feature in a series of books which became a bestseller series for MacBride.
The Plot goes as it is Logan McRae's first week back after being on sick leave for a year; courtesy of Angus Robertson (The Mastrick Monster) who carved him up with a knife. Someone is kidnapping children, murdering them and mutilating them afterwards. The local paper screams about police incompetence and is gunning for McRae's boss, Detective Inspector David Insch. McRae discovers that someone is leaking the stories to a journalist, Colin Miller, who inadvertently disrupts Grampian Polices' plans to apprehend the killer by revealing their plan to wait out in a secluded location which the killer thinks is safe.
McRae discovers that Miller's source is none other than his ex-girlfriend, Isobel McAlister, the police pathologist, who is now living with Miller and tells him about her day to unwind.
Meanwhile, the local council worker who removes all the dead animals from the roads (affectionately called "Roadkill") is found to have a dead girl in his tip and another dead girl is discovered on the local rubbish dump. | summarization | ### Instruction: Tell me about the plot of the book Cold Granite
### Context: Cold Granite is the debut novel written by Stuart MacBride. It features Detective Sergeant Logan McRae (who is later nicknamed "Lazarus") as its central character, who works for Grampian Police in Aberdeen, Scotland. Logan McRae went on to feature in a series of books which became a bestseller series for MacBride.
Plot
It is Logan McRae's first week back after being on sick leave for a year; courtesy of Angus Robertson (The Mastrick Monster) who carved him up with a knife. Someone is kidnapping children, murdering them and mutilating them afterwards. The local paper screams about police incompetence and is gunning for McRae's boss, Detective Inspector David Insch. McRae discovers that someone is leaking the stories to a journalist, Colin Miller, who inadvertently disrupts Grampian Polices' plans to apprehend the killer by revealing their plan to wait out in a secluded location which the killer thinks is safe.
McRae discovers that Miller's source is none other than his ex-girlfriend, Isobel McAlister, the police pathologist, who is now living with Miller and tells him about her day to unwind.
Meanwhile, the local council worker who removes all the dead animals from the roads (affectionately called "Roadkill") is found to have a dead girl in his tip and another dead girl is discovered on the local rubbish dump.
### Answer: Cold Granite is the debut novel written by Stuart MacBride. It features Detective Sergeant Logan McRae (who is later nicknamed "Lazarus") as its central character, who works for Grampian Police in Aberdeen, Scotland. Logan McRae went on to feature in a series of books which became a bestseller series for MacBride.
The Plot goes as it is Logan McRae's first week back after being on sick leave for a year; courtesy of Angus Robertson (The Mastrick Monster) who carved him up with a knife. Someone is kidnapping children, murdering them and mutilating them afterwards. The local paper screams about police incompetence and is gunning for McRae's boss, Detective Inspector David Insch. McRae discovers that someone is leaking the stories to a journalist, Colin Miller, who inadvertently disrupts Grampian Polices' plans to apprehend the killer by revealing their plan to wait out in a secluded location which the killer thinks is safe.
McRae discovers that Miller's source is none other than his ex-girlfriend, Isobel McAlister, the police pathologist, who is now living with Miller and tells him about her day to unwind.
Meanwhile, the local council worker who removes all the dead animals from the roads (affectionately called "Roadkill") is found to have a dead girl in his tip and another dead girl is discovered on the local rubbish dump.</s> |
What are the five boroughs of New York City? | New York City, the most populous city in the United States, is composed of five boroughs: The Bronx, Brooklyn, Manhattan, Queens, and Staten Island. Each borough is coextensive with a respective county of New York State. The boroughs of Queens and the Bronx are also Queens County and Bronx County. The other three counties are named differently from their boroughs: Manhattan is New York County, Brooklyn is Kings County, and Staten Island is Richmond County. | New York city is composed of five boroughs -- The Bronx, Brooklyn, Manhattan, Queens and Staten Island. Each borough is also a respective county of the State of New York. Queens is Queens County, and The Bronx is Bronx County. The other three counties are named differently from their boroughs. Manhattan is New York County, Brooklyn is Kings County, and Staten Island is Richmond County. | summarization | ### Instruction: What are the five boroughs of New York City?
### Context: New York City, the most populous city in the United States, is composed of five boroughs: The Bronx, Brooklyn, Manhattan, Queens, and Staten Island. Each borough is coextensive with a respective county of New York State. The boroughs of Queens and the Bronx are also Queens County and Bronx County. The other three counties are named differently from their boroughs: Manhattan is New York County, Brooklyn is Kings County, and Staten Island is Richmond County.
### Answer: New York city is composed of five boroughs -- The Bronx, Brooklyn, Manhattan, Queens and Staten Island. Each borough is also a respective county of the State of New York. Queens is Queens County, and The Bronx is Bronx County. The other three counties are named differently from their boroughs. Manhattan is New York County, Brooklyn is Kings County, and Staten Island is Richmond County.</s> |
What is the main difference between a nuclear bomb and a nuclear power generator? | Nuclear fission is a kind of nuclear reaction. It is when an atom splits apart into smaller atoms. Some fission reactions give off a lot of energy, and are used in nuclear weapons and nuclear reactors. Nuclear fission was discovered in December 1938 by the German nuclear chemist Otto Hahn and his assistant Fritz Strassmann in Berlin.
An atom is the smallest particle which makes up a chemical element (e.g. hydrogen, oxygen, magnesium). All atoms are very small. Atoms are made of three components or particles: Protons, neutrons and electrons. The protons and neutrons are clumped together in a ball called a nucleus, at the center of every atom. The electrons orbit around the nucleus in its 'electron cloud'. Elements which have large nuclei, such as uranium and plutonium, can be made to fission.
If a (relatively) very large atomic nucleus is hit by a slow-moving neutron, it will sometimes become unstable and break into two nuclei. When the nucleus breaks apart (or fissions) it releases energy, mostly as gamma rays and heat. It also causes some neutrons to be released from the nucleus.
For a few isotopes (an atom with the same amount of protons but a different amount of neutrons) such fission can release many neutrons. If those neutrons then hit other atoms, they will make the other atoms split. This can happen again and again. This is called a nuclear chain-reaction, and it can release huge amounts of energy.
In a nuclear bomb, this must happen very quickly to make a very big explosion. The amount of energy released in the explosion is measured in kilotons. One kiloton is the same as the energy of one thousand tons of TNT (trinitrotoluene).
In a nuclear reactor this must happen slowly to make heat. The heat is used to boil water into steam, which turns a steam turbine to generate electricity. | The nuclear chain reaction that creates the explosion of a nuclear bomb as well as the power generation in a nuclear reactor differ in the speed of the reaction. In a bomb, it happens very quickly and causes a big explosion. In the reactor, it is slowed down so the power can be contained and used to fuel a steam turbine. | summarization | ### Instruction: What is the main difference between a nuclear bomb and a nuclear power generator?
### Context: Nuclear fission is a kind of nuclear reaction. It is when an atom splits apart into smaller atoms. Some fission reactions give off a lot of energy, and are used in nuclear weapons and nuclear reactors. Nuclear fission was discovered in December 1938 by the German nuclear chemist Otto Hahn and his assistant Fritz Strassmann in Berlin.
An atom is the smallest particle which makes up a chemical element (e.g. hydrogen, oxygen, magnesium). All atoms are very small. Atoms are made of three components or particles: Protons, neutrons and electrons. The protons and neutrons are clumped together in a ball called a nucleus, at the center of every atom. The electrons orbit around the nucleus in its 'electron cloud'. Elements which have large nuclei, such as uranium and plutonium, can be made to fission.
If a (relatively) very large atomic nucleus is hit by a slow-moving neutron, it will sometimes become unstable and break into two nuclei. When the nucleus breaks apart (or fissions) it releases energy, mostly as gamma rays and heat. It also causes some neutrons to be released from the nucleus.
For a few isotopes (an atom with the same amount of protons but a different amount of neutrons) such fission can release many neutrons. If those neutrons then hit other atoms, they will make the other atoms split. This can happen again and again. This is called a nuclear chain-reaction, and it can release huge amounts of energy.
In a nuclear bomb, this must happen very quickly to make a very big explosion. The amount of energy released in the explosion is measured in kilotons. One kiloton is the same as the energy of one thousand tons of TNT (trinitrotoluene).
In a nuclear reactor this must happen slowly to make heat. The heat is used to boil water into steam, which turns a steam turbine to generate electricity.
### Answer: The nuclear chain reaction that creates the explosion of a nuclear bomb as well as the power generation in a nuclear reactor differ in the speed of the reaction. In a bomb, it happens very quickly and causes a big explosion. In the reactor, it is slowed down so the power can be contained and used to fuel a steam turbine.</s> |
Please list the harm that air pollution caused based on the given passage. | Air pollution is the contamination of air due to the presence of substances in the atmosphere that are harmful to the health of humans and other living beings, or cause damage to the climate or to materials. It is also the contamination of indoor or outdoor surrounding either by chemical activities, physical or biological agents that alters the natural features of the atmosphere. There are many different types of air pollutants, such as gases (including ammonia, carbon monoxide, sulphur dioxide, nitrous oxides, methane, carbon dioxide and chlorofluorocarbons), particulates (both organic and inorganic), and biological molecules. Air pollution can cause diseases, allergies, and even death to humans; it can also cause harm to other living organisms such as animals and food crops, and may damage the natural environment (for example, climate change, ozone depletion or habitat degradation) or built environment (for example, acid rain). Air pollution can be caused by both human activities and natural phenomena. | 1. Air pollution is caused by the presence of harmful substances in the air, it can cause damage to human health, living beings and climate.
2. Air pollution can cause diseases, allergies and even death to human, it can also harm animals, food corp and the nature.
3. Air pollution can harm the natural environment by climate change, ozone depletion, habitat degradation ,acid rain. | summarization | ### Instruction: Please list the harm that air pollution caused based on the given passage.
### Context: Air pollution is the contamination of air due to the presence of substances in the atmosphere that are harmful to the health of humans and other living beings, or cause damage to the climate or to materials. It is also the contamination of indoor or outdoor surrounding either by chemical activities, physical or biological agents that alters the natural features of the atmosphere. There are many different types of air pollutants, such as gases (including ammonia, carbon monoxide, sulphur dioxide, nitrous oxides, methane, carbon dioxide and chlorofluorocarbons), particulates (both organic and inorganic), and biological molecules. Air pollution can cause diseases, allergies, and even death to humans; it can also cause harm to other living organisms such as animals and food crops, and may damage the natural environment (for example, climate change, ozone depletion or habitat degradation) or built environment (for example, acid rain). Air pollution can be caused by both human activities and natural phenomena.
### Answer: 1. Air pollution is caused by the presence of harmful substances in the air, it can cause damage to human health, living beings and climate.
2. Air pollution can cause diseases, allergies and even death to human, it can also harm animals, food corp and the nature.
3. Air pollution can harm the natural environment by climate change, ozone depletion, habitat degradation ,acid rain.</s> |
What is the Masters Tournament? | The Masters Tournament (usually referred to as simply The Masters, or the U.S. Masters outside North America) is one of the four major championships in professional golf. Scheduled for the first full week of April, the Masters is the first major of the year, and unlike the others, it is always held at the same location, Augusta National Golf Club, a private course in the city of Augusta, Georgia, in the southeastern United States.
The Masters was started by amateur champion Bobby Jones and investment banker Clifford Roberts. After his grand slam in 1930, Jones acquired the former plant nursery and co-designed Augusta National with course architect Alister MacKenzie. First played 89 years ago in 1934, the tournament is an official money event on the PGA Tour, the European Tour, and the Japan Golf Tour. The field of players is smaller than those of the other major championships because it is an invitational event, held by the Augusta National Golf Club.
The tournament has a number of traditions. Since 1949, a green jacket has been awarded to the champion, who must return it to the clubhouse one year after his victory, although it remains his personal property and is stored with other champions' jackets in a specially designated cloakroom. In most instances, only a first-time and currently reigning champion may remove his jacket from the club grounds. A golfer who wins the event multiple times uses the same green jacket awarded upon his initial win (unless they need to be re-fitted with a new jacket). The Champions Dinner, inaugurated by Ben Hogan in 1952, is held on the Tuesday before each tournament, and is open only to past champions and certain board members of the Augusta National Golf Club. Beginning in 1963, legendary golfers, usually past champions, have hit an honorary tee shot on the morning of the first round to commence play. These have included Fred McLeod, Jock Hutchinson, Gene Sarazen, Sam Snead, Byron Nelson, Arnold Palmer, Jack Nicklaus, Gary Player, Lee Elder, and Tom Watson. Since 1960, a semi-social contest at the par-3 course has been played on Wednesday, the day before the first round. | The Masters Tournament is played in Augusta, Georgia. It is four major championships in professional golf. It is usually played the first week of April. It is known for the Green Jacket that is awarded to the winner of the tournament. The Masters Tournament is an invitation only event so therefore it is usually smaller than a typical PGA event. Augusta National Golf Club is a private invitation only club. | summarization | ### Instruction: What is the Masters Tournament?
### Context: The Masters Tournament (usually referred to as simply The Masters, or the U.S. Masters outside North America) is one of the four major championships in professional golf. Scheduled for the first full week of April, the Masters is the first major of the year, and unlike the others, it is always held at the same location, Augusta National Golf Club, a private course in the city of Augusta, Georgia, in the southeastern United States.
The Masters was started by amateur champion Bobby Jones and investment banker Clifford Roberts. After his grand slam in 1930, Jones acquired the former plant nursery and co-designed Augusta National with course architect Alister MacKenzie. First played 89 years ago in 1934, the tournament is an official money event on the PGA Tour, the European Tour, and the Japan Golf Tour. The field of players is smaller than those of the other major championships because it is an invitational event, held by the Augusta National Golf Club.
The tournament has a number of traditions. Since 1949, a green jacket has been awarded to the champion, who must return it to the clubhouse one year after his victory, although it remains his personal property and is stored with other champions' jackets in a specially designated cloakroom. In most instances, only a first-time and currently reigning champion may remove his jacket from the club grounds. A golfer who wins the event multiple times uses the same green jacket awarded upon his initial win (unless they need to be re-fitted with a new jacket). The Champions Dinner, inaugurated by Ben Hogan in 1952, is held on the Tuesday before each tournament, and is open only to past champions and certain board members of the Augusta National Golf Club. Beginning in 1963, legendary golfers, usually past champions, have hit an honorary tee shot on the morning of the first round to commence play. These have included Fred McLeod, Jock Hutchinson, Gene Sarazen, Sam Snead, Byron Nelson, Arnold Palmer, Jack Nicklaus, Gary Player, Lee Elder, and Tom Watson. Since 1960, a semi-social contest at the par-3 course has been played on Wednesday, the day before the first round.
### Answer: The Masters Tournament is played in Augusta, Georgia. It is four major championships in professional golf. It is usually played the first week of April. It is known for the Green Jacket that is awarded to the winner of the tournament. The Masters Tournament is an invitation only event so therefore it is usually smaller than a typical PGA event. Augusta National Golf Club is a private invitation only club.</s> |
Highlight relevant facts related to Heidelberg | Heidelberg (German: [ˈhaɪdl̩bɛʁk] (listen); Palatine German: Heidlberg) is a city in the German state of Baden-Württemberg, situated on the river Neckar in south-west Germany. As of the 2016 census, its population was 159,914, of which roughly a quarter consisted of students.
Located about 78 km (48 mi) south of Frankfurt, Heidelberg is the fifth-largest city in Baden-Württemberg. Heidelberg is part of the densely populated Rhine-Neckar Metropolitan Region.
Heidelberg University, founded in 1386, is Germany's oldest and one of Europe's most reputable universities. Heidelberg is a scientific hub in Germany and home to several internationally renowned research facilities adjacent to its university, including the European Molecular Biology Laboratory and four Max Planck Institutes. The city has also been a hub for the arts, especially literature, throughout the centuries, and it was designated a "City of Literature" by the UNESCO Creative Cities Network.
Heidelberg was a seat of government of the former Electorate of the Palatinate and is a popular tourist destination due to its romantic cityscape, including Heidelberg Castle, the Philosophers' Walk, and the Baroque old town. | Heidelberg has the oldest University in Germany. The city is a scientific hub and home to several internationally renowned research facilities. It was designated a "City of Literature" by the UNESCO Creative Cities Network. | summarization | ### Instruction: Highlight relevant facts related to Heidelberg
### Context: Heidelberg (German: [ˈhaɪdl̩bɛʁk] (listen); Palatine German: Heidlberg) is a city in the German state of Baden-Württemberg, situated on the river Neckar in south-west Germany. As of the 2016 census, its population was 159,914, of which roughly a quarter consisted of students.
Located about 78 km (48 mi) south of Frankfurt, Heidelberg is the fifth-largest city in Baden-Württemberg. Heidelberg is part of the densely populated Rhine-Neckar Metropolitan Region.
Heidelberg University, founded in 1386, is Germany's oldest and one of Europe's most reputable universities. Heidelberg is a scientific hub in Germany and home to several internationally renowned research facilities adjacent to its university, including the European Molecular Biology Laboratory and four Max Planck Institutes. The city has also been a hub for the arts, especially literature, throughout the centuries, and it was designated a "City of Literature" by the UNESCO Creative Cities Network.
Heidelberg was a seat of government of the former Electorate of the Palatinate and is a popular tourist destination due to its romantic cityscape, including Heidelberg Castle, the Philosophers' Walk, and the Baroque old town.
### Answer: Heidelberg has the oldest University in Germany. The city is a scientific hub and home to several internationally renowned research facilities. It was designated a "City of Literature" by the UNESCO Creative Cities Network.</s> |
Please give me summary of the below graph in not more than 2 line. | Artificial intelligence (AI) is intelligence demonstrated by machines, as opposed to intelligence of humans and other animals. Example tasks in which this is done include speech recognition, computer vision, translation between (natural) languages, as well as other mappings of inputs.
AI applications include advanced web search engines (e.g., Google Search), recommendation systems (used by YouTube, Amazon, and Netflix), understanding human speech (such as Siri and Alexa), self-driving cars (e.g., Waymo), generative or creative tools (ChatGPT and AI art), automated decision-making, and competing at the highest level in strategic game systems (such as chess and Go).
As machines become increasingly capable, tasks considered to require "intelligence" are often removed from the definition of AI, a phenomenon known as the AI effect. For instance, optical character recognition is frequently excluded from things considered to be AI, having become a routine technology.
Artificial intelligence was founded as an academic discipline in 1956, and in the years since it has experienced several waves of optimism, followed by disappointment and the loss of funding (known as an "AI winter"), followed by new approaches, success, and renewed funding. AI research has tried and discarded many different approaches, including simulating the brain, modeling human problem solving, formal logic, large databases of knowledge, and imitating animal behavior. In the first decades of the 21st century, highly mathematical and statistical machine learning has dominated the field, and this technique has proved highly successful, helping to solve many challenging problems throughout industry and academia.
The various sub-fields of AI research are centered around particular goals and the use of particular tools. The traditional goals of AI research include reasoning, knowledge representation, planning, learning, natural language processing, perception, and the ability to move and manipulate objects. General intelligence (the ability to solve an arbitrary problem) is among the field's long-term goals. To solve these problems, AI researchers have adapted and integrated a wide range of problem-solving techniques, including search and mathematical optimization, formal logic, artificial neural networks, and methods based on statistics, probability, and economics. AI also draws upon computer science, psychology, linguistics, philosophy, and many other fields.
The field was founded on the assumption that human intelligence "can be so precisely described that a machine can be made to simulate it". This raised philosophical arguments about the mind and the ethical consequences of creating artificial beings endowed with human-like intelligence; these issues have previously been explored by myth, fiction, and philosophy since antiquity. Computer scientists and philosophers have since suggested that AI may become an existential risk to humanity if its rational capacities are not steered towards beneficial goals. The term artificial intelligence has also been criticized for overhyping AI's true technological capabilities. | Artificial intelligence (AI) is intelligence demonstrated by machines rather than Intelligence of species and this AI is being used in some application like advanced web search engines, recommendation systems, understanding human speech, self-driving car, generative or creative tools but like every coin has two face AI also raise ethical consequences of creating artificial beings endowed with human-like intelligence | summarization | ### Instruction: Please give me summary of the below graph in not more than 2 line.
### Context: Artificial intelligence (AI) is intelligence demonstrated by machines, as opposed to intelligence of humans and other animals. Example tasks in which this is done include speech recognition, computer vision, translation between (natural) languages, as well as other mappings of inputs.
AI applications include advanced web search engines (e.g., Google Search), recommendation systems (used by YouTube, Amazon, and Netflix), understanding human speech (such as Siri and Alexa), self-driving cars (e.g., Waymo), generative or creative tools (ChatGPT and AI art), automated decision-making, and competing at the highest level in strategic game systems (such as chess and Go).
As machines become increasingly capable, tasks considered to require "intelligence" are often removed from the definition of AI, a phenomenon known as the AI effect. For instance, optical character recognition is frequently excluded from things considered to be AI, having become a routine technology.
Artificial intelligence was founded as an academic discipline in 1956, and in the years since it has experienced several waves of optimism, followed by disappointment and the loss of funding (known as an "AI winter"), followed by new approaches, success, and renewed funding. AI research has tried and discarded many different approaches, including simulating the brain, modeling human problem solving, formal logic, large databases of knowledge, and imitating animal behavior. In the first decades of the 21st century, highly mathematical and statistical machine learning has dominated the field, and this technique has proved highly successful, helping to solve many challenging problems throughout industry and academia.
The various sub-fields of AI research are centered around particular goals and the use of particular tools. The traditional goals of AI research include reasoning, knowledge representation, planning, learning, natural language processing, perception, and the ability to move and manipulate objects. General intelligence (the ability to solve an arbitrary problem) is among the field's long-term goals. To solve these problems, AI researchers have adapted and integrated a wide range of problem-solving techniques, including search and mathematical optimization, formal logic, artificial neural networks, and methods based on statistics, probability, and economics. AI also draws upon computer science, psychology, linguistics, philosophy, and many other fields.
The field was founded on the assumption that human intelligence "can be so precisely described that a machine can be made to simulate it". This raised philosophical arguments about the mind and the ethical consequences of creating artificial beings endowed with human-like intelligence; these issues have previously been explored by myth, fiction, and philosophy since antiquity. Computer scientists and philosophers have since suggested that AI may become an existential risk to humanity if its rational capacities are not steered towards beneficial goals. The term artificial intelligence has also been criticized for overhyping AI's true technological capabilities.
### Answer: Artificial intelligence (AI) is intelligence demonstrated by machines rather than Intelligence of species and this AI is being used in some application like advanced web search engines, recommendation systems, understanding human speech, self-driving car, generative or creative tools but like every coin has two face AI also raise ethical consequences of creating artificial beings endowed with human-like intelligence</s> |
Give me a bulleted list of the three trimesters and the corresponding weeks of pregnancy | Trimesters
Pregnancy is divided into three trimesters, each lasting for approximately three months.
The first trimester begins with the start of gestational age as described above, that is, the beginning of week 1, or 0 weeks + 0 days of gestational age (GA). It ends at week 12 (11 weeks + 6 days of GA) or end of week 14 (13 weeks + 6 days of GA).
The second trimester is defined as starting, between the beginning of week 13 (12 weeks +0 days of GA) and beginning of week 15 (14 weeks + 0 days of GA). It ends at the end of week 27 (26 weeks + 6 days of GA) or end of week 28 (27 weeks + 6 days of GA).
The third trimester is defined as starting, between the beginning of week 28 (27 weeks + 0 days of GA) or beginning of week 29 (28 weeks + 0 days of GA). It lasts until childbirth. | - First trimester is from 0-12 weeks
- Second trimester is from 12-28 weeks
- Third trimester is from 28 weeks until birth | summarization | ### Instruction: Give me a bulleted list of the three trimesters and the corresponding weeks of pregnancy
### Context: Trimesters
Pregnancy is divided into three trimesters, each lasting for approximately three months.
The first trimester begins with the start of gestational age as described above, that is, the beginning of week 1, or 0 weeks + 0 days of gestational age (GA). It ends at week 12 (11 weeks + 6 days of GA) or end of week 14 (13 weeks + 6 days of GA).
The second trimester is defined as starting, between the beginning of week 13 (12 weeks +0 days of GA) and beginning of week 15 (14 weeks + 0 days of GA). It ends at the end of week 27 (26 weeks + 6 days of GA) or end of week 28 (27 weeks + 6 days of GA).
The third trimester is defined as starting, between the beginning of week 28 (27 weeks + 0 days of GA) or beginning of week 29 (28 weeks + 0 days of GA). It lasts until childbirth.
### Answer: - First trimester is from 0-12 weeks
- Second trimester is from 12-28 weeks
- Third trimester is from 28 weeks until birth</s> |
Can you summarize for me in no more than three paragraphs the book, "The Little Engine That Could", by Watty Piper? | The Little Engine That Could is an American folktale (existing in the form of several illustrated children's books and films) that became widely known in the United States after publication in 1930 by Platt & Munk. The story is used to teach children the value of optimism and hard work. Based on a 2007 online poll, the National Education Association listed the book as one of its "Teachers' Top 100 Books for Children" | The Little Engine That Could is a children's book written in 1930 by Watty Piper. The main purpose of the book is to help bring out in children a positive, "can-do attitude." The key phrase in the book is, "I think I can."
The main character is the "Little Engine". The Little Engine is an undersized locomotive that is called upon to pull rail cars full of good things for the boys and girls that live on the other side of the mountain. Several other locomotives, appearing newer, stronger or more mature than the Little Engine all make excuses for why they will not help take the train cars over the mountain.
The Little Engine gladly takes on the task when called upon. When starting to pull the heavy rail cars, The Little Engine strains with all its might and begins to say, "I think I can, I think I can, I think I can." When climbing the mountain, it doesn't look like the Little Engine has the power to get over the peak. The Little Engine puffs, "I think I can, I think I can, I think I can." Finally The Little Engine reaches the top, comes over the crest and on the way down says, "I though I could, I thought I could, I thought I could." | summarization | ### Instruction: Can you summarize for me in no more than three paragraphs the book, "The Little Engine That Could", by Watty Piper?
### Context: The Little Engine That Could is an American folktale (existing in the form of several illustrated children's books and films) that became widely known in the United States after publication in 1930 by Platt & Munk. The story is used to teach children the value of optimism and hard work. Based on a 2007 online poll, the National Education Association listed the book as one of its "Teachers' Top 100 Books for Children"
### Answer: The Little Engine That Could is a children's book written in 1930 by Watty Piper. The main purpose of the book is to help bring out in children a positive, "can-do attitude." The key phrase in the book is, "I think I can."
The main character is the "Little Engine". The Little Engine is an undersized locomotive that is called upon to pull rail cars full of good things for the boys and girls that live on the other side of the mountain. Several other locomotives, appearing newer, stronger or more mature than the Little Engine all make excuses for why they will not help take the train cars over the mountain.
The Little Engine gladly takes on the task when called upon. When starting to pull the heavy rail cars, The Little Engine strains with all its might and begins to say, "I think I can, I think I can, I think I can." When climbing the mountain, it doesn't look like the Little Engine has the power to get over the peak. The Little Engine puffs, "I think I can, I think I can, I think I can." Finally The Little Engine reaches the top, comes over the crest and on the way down says, "I though I could, I thought I could, I thought I could."</s> |
When was the theory of comparative advantage developed? | In an economic model, agents have a comparative advantage over others in producing a particular good if they can produce that good at a lower relative opportunity cost or autarky price, i.e. at a lower relative marginal cost prior to trade. Comparative advantage describes the economic reality of the work gains from trade for individuals, firms, or nations, which arise from differences in their factor endowments or technological progress. (The absolute advantage, comparing output per time (labor efficiency) or per quantity of input material (monetary efficiency), is generally considered more intuitive, but less accurate — as long as the opportunity costs of producing goods across countries vary, productive trade is possible.)
David Ricardo developed the classical theory of comparative advantage in 1817 to explain why countries engage in international trade even when one country's workers are more efficient at producing every single good than workers in other countries. He demonstrated that if two countries capable of producing two commodities engage in the free market (albeit with the assumption that the capital and labour do not move internationally), then each country will increase its overall consumption by exporting the good for which it has a comparative advantage while importing the other good, provided that there exist differences in labor productivity between both countries. Widely regarded as one of the most powerful yet counter-intuitive insights in economics, Ricardo's theory implies that comparative advantage rather than absolute advantage is responsible for much of international trade. | The classical theory of comparative advantage was developed in 1817 by David Ricardo. | summarization | ### Instruction: When was the theory of comparative advantage developed?
### Context: In an economic model, agents have a comparative advantage over others in producing a particular good if they can produce that good at a lower relative opportunity cost or autarky price, i.e. at a lower relative marginal cost prior to trade. Comparative advantage describes the economic reality of the work gains from trade for individuals, firms, or nations, which arise from differences in their factor endowments or technological progress. (The absolute advantage, comparing output per time (labor efficiency) or per quantity of input material (monetary efficiency), is generally considered more intuitive, but less accurate — as long as the opportunity costs of producing goods across countries vary, productive trade is possible.)
David Ricardo developed the classical theory of comparative advantage in 1817 to explain why countries engage in international trade even when one country's workers are more efficient at producing every single good than workers in other countries. He demonstrated that if two countries capable of producing two commodities engage in the free market (albeit with the assumption that the capital and labour do not move internationally), then each country will increase its overall consumption by exporting the good for which it has a comparative advantage while importing the other good, provided that there exist differences in labor productivity between both countries. Widely regarded as one of the most powerful yet counter-intuitive insights in economics, Ricardo's theory implies that comparative advantage rather than absolute advantage is responsible for much of international trade.
### Answer: The classical theory of comparative advantage was developed in 1817 by David Ricardo.</s> |
Provide a bulleted list of the different shapes of lenses | Construction of Simple Lenses
Most lenses are spherical lenses: their two surfaces are parts of the surfaces of spheres. Each surface can be convex (bulging outwards from the lens), concave (depressed into the lens), or planar (flat). The line joining the centres of the spheres making up the lens surfaces is called the axis of the lens. Typically the lens axis passes through the physical centre of the lens, because of the way they are manufactured. Lenses may be cut or ground after manufacturing to give them a different shape or size. The lens axis may then not pass through the physical centre of the lens.
Toric or sphero-cylindrical lenses have surfaces with two different radii of curvature in two orthogonal planes. They have a different focal power in different meridians. This forms an astigmatic lens. An example is eyeglass lenses that are used to correct astigmatism in someone's eye. | The following are the different shapes of lenses:
- Convex: Curves out from the middle of the lens
- Concave: Curves into the middle of the lens
- Planar: Flat lens | summarization | ### Instruction: Provide a bulleted list of the different shapes of lenses
### Context: Construction of Simple Lenses
Most lenses are spherical lenses: their two surfaces are parts of the surfaces of spheres. Each surface can be convex (bulging outwards from the lens), concave (depressed into the lens), or planar (flat). The line joining the centres of the spheres making up the lens surfaces is called the axis of the lens. Typically the lens axis passes through the physical centre of the lens, because of the way they are manufactured. Lenses may be cut or ground after manufacturing to give them a different shape or size. The lens axis may then not pass through the physical centre of the lens.
Toric or sphero-cylindrical lenses have surfaces with two different radii of curvature in two orthogonal planes. They have a different focal power in different meridians. This forms an astigmatic lens. An example is eyeglass lenses that are used to correct astigmatism in someone's eye.
### Answer: The following are the different shapes of lenses:
- Convex: Curves out from the middle of the lens
- Concave: Curves into the middle of the lens
- Planar: Flat lens</s> |
Tell me about the Walton Football Club | Walton Casuals Football Club was a semi-professional football club based in Walton-on-Thames, Surrey. Founded in 1948, the club was affiliated to the Surrey County Football Association, and had been a part of the football pyramid since 1992.
The club joined the Surrey Intermediate League upon formation, and remained there until the league disbanded in 1965. A move to the Surrey Senior League lasted just two years before becoming founding members of the Suburban League. Walton Casuals won their first major honour in 1983 as champions of the Suburban League Southern Section. In 1992, the club turned semi-professional and entered the football pyramid by joining the Surrey Premier League. The Stags earned promotion to the Combined Counties Football League in 1995, and the Isthmian League 10 years later. After two years of groundsharing, the club moved into the Elmbridge Sports Hub – a £20 million sports complex development – for the 2017–18 season. In their first season at the new stadium, Walton secured a top six finish on goal difference and went on to win the play-offs.
Walton Casuals' most notable rivalry came with Combined Counties Premier Division club Walton & Hersham, due to their close proximity. The club also had a rivalry with Molesey, who play in the Isthmian League South Division. The two teams previously competed in an annual pre-season fixture for the Mick Burgess Memorial Trophy, but the competition was halted when Molesey earned promotion to the same league in 2015. | The Walton Casuals Football Club was a semi-professional football club based in Walton-on-Thames, Surrey. Founded in 1948, the club was affiliated to the Surrey County Football Association, and had been a part of the football pyramid since 1992.
The club joined the Surrey Intermediate League upon formation, and remained there until the league disbanded in 1965. A move to the Surrey Senior League lasted just two years before becoming founding members of the Suburban League. Walton Casuals won their first major honour in 1983 as champions of the Suburban League Southern Section. In 1992, the club turned semi-professional and entered the football pyramid by joining the Surrey Premier League. The Stags earned promotion to the Combined Counties Football League in 1995, and the Isthmian League 10 years later. After two years of groundsharing, the club moved into the Elmbridge Sports Hub – a £20 million sports complex development – for the 2017–18 season. In their first season at the new stadium, Walton secured a top six finish on goal difference and went on to win the play-offs.
Walton Casuals' most notable rivalry came with Combined Counties Premier Division club Walton & Hersham, due to their close proximity. The club also had a rivalry with Molesey, who play in the Isthmian League South Division. The two teams previously competed in an annual pre-season fixture for the Mick Burgess Memorial Trophy, but the competition was halted when Molesey earned promotion to the same league in 2015. | summarization | ### Instruction: Tell me about the Walton Football Club
### Context: Walton Casuals Football Club was a semi-professional football club based in Walton-on-Thames, Surrey. Founded in 1948, the club was affiliated to the Surrey County Football Association, and had been a part of the football pyramid since 1992.
The club joined the Surrey Intermediate League upon formation, and remained there until the league disbanded in 1965. A move to the Surrey Senior League lasted just two years before becoming founding members of the Suburban League. Walton Casuals won their first major honour in 1983 as champions of the Suburban League Southern Section. In 1992, the club turned semi-professional and entered the football pyramid by joining the Surrey Premier League. The Stags earned promotion to the Combined Counties Football League in 1995, and the Isthmian League 10 years later. After two years of groundsharing, the club moved into the Elmbridge Sports Hub – a £20 million sports complex development – for the 2017–18 season. In their first season at the new stadium, Walton secured a top six finish on goal difference and went on to win the play-offs.
Walton Casuals' most notable rivalry came with Combined Counties Premier Division club Walton & Hersham, due to their close proximity. The club also had a rivalry with Molesey, who play in the Isthmian League South Division. The two teams previously competed in an annual pre-season fixture for the Mick Burgess Memorial Trophy, but the competition was halted when Molesey earned promotion to the same league in 2015.
### Answer: The Walton Casuals Football Club was a semi-professional football club based in Walton-on-Thames, Surrey. Founded in 1948, the club was affiliated to the Surrey County Football Association, and had been a part of the football pyramid since 1992.
The club joined the Surrey Intermediate League upon formation, and remained there until the league disbanded in 1965. A move to the Surrey Senior League lasted just two years before becoming founding members of the Suburban League. Walton Casuals won their first major honour in 1983 as champions of the Suburban League Southern Section. In 1992, the club turned semi-professional and entered the football pyramid by joining the Surrey Premier League. The Stags earned promotion to the Combined Counties Football League in 1995, and the Isthmian League 10 years later. After two years of groundsharing, the club moved into the Elmbridge Sports Hub – a £20 million sports complex development – for the 2017–18 season. In their first season at the new stadium, Walton secured a top six finish on goal difference and went on to win the play-offs.
Walton Casuals' most notable rivalry came with Combined Counties Premier Division club Walton & Hersham, due to their close proximity. The club also had a rivalry with Molesey, who play in the Isthmian League South Division. The two teams previously competed in an annual pre-season fixture for the Mick Burgess Memorial Trophy, but the competition was halted when Molesey earned promotion to the same league in 2015.</s> |
How does UIUC relate to PayPal? | The "PayPal Mafia" is a group of former PayPal employees and founders who have since founded and/or developed additional technology companies such as Tesla, Inc., LinkedIn, Palantir Technologies, SpaceX, Affirm, Slide, Kiva, YouTube, Yelp, and Yammer. Most of the members attended Stanford University or University of Illinois Urbana–Champaign at some point in their studies. | Most of the members of the PayPal Mafia the University of Illinois Urbana–Champaign (UIUC) at some point, as well as Stanford University. | summarization | ### Instruction: How does UIUC relate to PayPal?
### Context: The "PayPal Mafia" is a group of former PayPal employees and founders who have since founded and/or developed additional technology companies such as Tesla, Inc., LinkedIn, Palantir Technologies, SpaceX, Affirm, Slide, Kiva, YouTube, Yelp, and Yammer. Most of the members attended Stanford University or University of Illinois Urbana–Champaign at some point in their studies.
### Answer: Most of the members of the PayPal Mafia the University of Illinois Urbana–Champaign (UIUC) at some point, as well as Stanford University.</s> |
What is the plot of the movie above suspicion | Above Suspicion is a 2019 American crime thriller film directed by Phillip Noyce, from a screenplay by Chris Gerolmo, based upon Joe Sharkey's non-fiction book of the same name revolving around the murder of Susan Smith. It stars Emilia Clarke, Jack Huston, Sophie Lowe, Austin Hébert, Karl Glusman, Chris Mulkey, Omar Miller, Kevin Dunn, Thora Birch and Johnny Knoxville.
It was released in the United States on May 7, 2021, by Lionsgate.
Plot
An ambitious rookie agent is assigned to an FBI field office in the run-down town of Pikeville, Kentucky. The married man recruits a local drug-addicted woman as his informant and gets involved with her, thereby setting in motion a downward spiral of jealousy, betrayal and violence. | Above Suspicion is a 2019 American crime thriller film directed by Phillip Noyce, from a screenplay by Chris Gerolmo, based upon Joe Sharkey's non-fiction book of the same name revolving around the murder of Susan Smith. It stars Emilia Clarke, Jack Huston, Sophie Lowe, Austin Hébert, Karl Glusman, Chris Mulkey, Omar Miller, Kevin Dunn, Thora Birch and Johnny Knoxville.
It was released in the United States on May 7, 2021, by Lionsgate.
An ambitious rookie agent is assigned to an FBI field office in the run-down town of Pikeville, Kentucky. The married man recruits a local drug-addicted woman as his informant and gets involved with her, thereby setting in motion a downward spiral of jealousy, betrayal and violence. | summarization | ### Instruction: What is the plot of the movie above suspicion
### Context: Above Suspicion is a 2019 American crime thriller film directed by Phillip Noyce, from a screenplay by Chris Gerolmo, based upon Joe Sharkey's non-fiction book of the same name revolving around the murder of Susan Smith. It stars Emilia Clarke, Jack Huston, Sophie Lowe, Austin Hébert, Karl Glusman, Chris Mulkey, Omar Miller, Kevin Dunn, Thora Birch and Johnny Knoxville.
It was released in the United States on May 7, 2021, by Lionsgate.
Plot
An ambitious rookie agent is assigned to an FBI field office in the run-down town of Pikeville, Kentucky. The married man recruits a local drug-addicted woman as his informant and gets involved with her, thereby setting in motion a downward spiral of jealousy, betrayal and violence.
### Answer: Above Suspicion is a 2019 American crime thriller film directed by Phillip Noyce, from a screenplay by Chris Gerolmo, based upon Joe Sharkey's non-fiction book of the same name revolving around the murder of Susan Smith. It stars Emilia Clarke, Jack Huston, Sophie Lowe, Austin Hébert, Karl Glusman, Chris Mulkey, Omar Miller, Kevin Dunn, Thora Birch and Johnny Knoxville.
It was released in the United States on May 7, 2021, by Lionsgate.
An ambitious rookie agent is assigned to an FBI field office in the run-down town of Pikeville, Kentucky. The married man recruits a local drug-addicted woman as his informant and gets involved with her, thereby setting in motion a downward spiral of jealousy, betrayal and violence.</s> |
Who developed Pilates? | Pilates is a type of mind-body exercise developed in the early 20th century by German physical trainer Joseph Pilates, after whom it was named. Pilates called his method "Contrology". It is practiced worldwide, especially in countries such as Australia, Canada, South Korea, the United States and the United Kingdom. As of 2005, approximately 11 million people were practicing the discipline regularly, and there were 14,000 instructors in the US.Pilates was developed by Joseph Pilates from Mönchengladbach, Germany. His father was a gymnast and his mother a naturopath. | Pilates was developed by Joseph Pilates in the early 20th century, and he lived in Monchengladbach, Germany. | summarization | ### Instruction: Who developed Pilates?
### Context: Pilates is a type of mind-body exercise developed in the early 20th century by German physical trainer Joseph Pilates, after whom it was named. Pilates called his method "Contrology". It is practiced worldwide, especially in countries such as Australia, Canada, South Korea, the United States and the United Kingdom. As of 2005, approximately 11 million people were practicing the discipline regularly, and there were 14,000 instructors in the US.Pilates was developed by Joseph Pilates from Mönchengladbach, Germany. His father was a gymnast and his mother a naturopath.
### Answer: Pilates was developed by Joseph Pilates in the early 20th century, and he lived in Monchengladbach, Germany.</s> |
How did YouTube exit? | YouTube is an American global online video sharing and social media platform headquartered in San Bruno, California, United States. It was launched on February 14, 2005, by Steve Chen, Chad Hurley, and Jawed Karim. It is owned by Google and is the second most visited website, after Google Search. YouTube has more than 2.5 billion monthly users, who collectively watch more than one billion hours of videos each day. As of May 2019, videos were being uploaded at a rate of more than 500 hours of content per minute.
In October 2006, YouTube was bought by Google for $1.65 billion. Google's ownership of YouTube expanded the site's business model, expanding from generating revenue from advertisements alone to offering paid content such as movies and exclusive content produced by YouTube. It also offers YouTube Premium, a paid subscription option for watching content without ads. YouTube also approved creators to participate in Google's AdSense program, which seeks to generate more revenue for both parties. YouTube reported revenue of $29.2 billion in 2022. In 2021, YouTube's annual advertising revenue increased to $28.8 billion, an increase in revenue of 9 billion from the previous year.
Since its purchase by Google, YouTube has expanded beyond the core website into mobile apps, network television, and the ability to link with other platforms. Video categories on YouTube include music videos, video clips, news, short films, feature films, songs, documentaries, movie trailers, teasers, live streams, vlogs, and more. Most content is generated by individuals, including collaborations between YouTubers and corporate sponsors. Established media corporations such as Disney, Paramount, NBCUniversal, and Warner Bros. Discovery have also created and expanded their corporate YouTube channels to advertise to a larger audience.
YouTube has had unprecedented social impact, influencing popular culture, internet trends, and creating multimillionaire celebrities. Despite all its growth and success, YouTube has been widely criticized. Criticism of YouTube includes the website being used to facilitate the spread of misinformation, copyright issues, routine violations of its users' privacy, enabling censorship, their guidelines and how they are implemented, and endangering child safety and wellbeing. | YouTube was bought by Google for $1.65 billion in October 2006. | summarization | ### Instruction: How did YouTube exit?
### Context: YouTube is an American global online video sharing and social media platform headquartered in San Bruno, California, United States. It was launched on February 14, 2005, by Steve Chen, Chad Hurley, and Jawed Karim. It is owned by Google and is the second most visited website, after Google Search. YouTube has more than 2.5 billion monthly users, who collectively watch more than one billion hours of videos each day. As of May 2019, videos were being uploaded at a rate of more than 500 hours of content per minute.
In October 2006, YouTube was bought by Google for $1.65 billion. Google's ownership of YouTube expanded the site's business model, expanding from generating revenue from advertisements alone to offering paid content such as movies and exclusive content produced by YouTube. It also offers YouTube Premium, a paid subscription option for watching content without ads. YouTube also approved creators to participate in Google's AdSense program, which seeks to generate more revenue for both parties. YouTube reported revenue of $29.2 billion in 2022. In 2021, YouTube's annual advertising revenue increased to $28.8 billion, an increase in revenue of 9 billion from the previous year.
Since its purchase by Google, YouTube has expanded beyond the core website into mobile apps, network television, and the ability to link with other platforms. Video categories on YouTube include music videos, video clips, news, short films, feature films, songs, documentaries, movie trailers, teasers, live streams, vlogs, and more. Most content is generated by individuals, including collaborations between YouTubers and corporate sponsors. Established media corporations such as Disney, Paramount, NBCUniversal, and Warner Bros. Discovery have also created and expanded their corporate YouTube channels to advertise to a larger audience.
YouTube has had unprecedented social impact, influencing popular culture, internet trends, and creating multimillionaire celebrities. Despite all its growth and success, YouTube has been widely criticized. Criticism of YouTube includes the website being used to facilitate the spread of misinformation, copyright issues, routine violations of its users' privacy, enabling censorship, their guidelines and how they are implemented, and endangering child safety and wellbeing.
### Answer: YouTube was bought by Google for $1.65 billion in October 2006.</s> |
Tell me about the botanical garden? | A botanical garden or botanic garden[nb 1] is a garden with a documented collection of living plants for the purpose of scientific research, conservation, display, and education. Typically plants are labelled with their botanical names. It may contain specialist plant collections such as cacti and other succulent plants, herb gardens, plants from particular parts of the world, and so on; there may be greenhouses, shadehouses, again with special collections such as tropical plants, alpine plants, or other exotic plants. Most are at least partly open to the public, and may offer guided tours, educational displays, art exhibitions, book rooms, open-air theatrical and musical performances, and other entertainment. | A botanical garden have a collection of living plants for the purpose of scientific research, conservation, display, and education. Plants are labelled with their botanical names. It may contain specialist plant collections such as cacti and other succulent plants, herb gardens, p tropical plants, alpine plants, or other exotic plants.
The origin of modern botanical gardens is generally traced to the appointment of professors of botany to the medical faculties of universities in 16th century Renaissance Italy, which also entailed the curation of a medicinal garden.
Botanical gardens are often run by universities or other scientific research organizations. The staff will normally include botanists as well as gardeners.
Worldwide, there are now about 1800 botanical gardens and arboreta in about 150 countries (mostly in temperate regions) of which about 550 are in Europe (150 of which are in Russia), 200 in North America, and an increasing number in East Asia. These gardens attract about 300 million visitors a year. | summarization | ### Instruction: Tell me about the botanical garden?
### Context: A botanical garden or botanic garden[nb 1] is a garden with a documented collection of living plants for the purpose of scientific research, conservation, display, and education. Typically plants are labelled with their botanical names. It may contain specialist plant collections such as cacti and other succulent plants, herb gardens, plants from particular parts of the world, and so on; there may be greenhouses, shadehouses, again with special collections such as tropical plants, alpine plants, or other exotic plants. Most are at least partly open to the public, and may offer guided tours, educational displays, art exhibitions, book rooms, open-air theatrical and musical performances, and other entertainment.
### Answer: A botanical garden have a collection of living plants for the purpose of scientific research, conservation, display, and education. Plants are labelled with their botanical names. It may contain specialist plant collections such as cacti and other succulent plants, herb gardens, p tropical plants, alpine plants, or other exotic plants.
The origin of modern botanical gardens is generally traced to the appointment of professors of botany to the medical faculties of universities in 16th century Renaissance Italy, which also entailed the curation of a medicinal garden.
Botanical gardens are often run by universities or other scientific research organizations. The staff will normally include botanists as well as gardeners.
Worldwide, there are now about 1800 botanical gardens and arboreta in about 150 countries (mostly in temperate regions) of which about 550 are in Europe (150 of which are in Russia), 200 in North America, and an increasing number in East Asia. These gardens attract about 300 million visitors a year.</s> |
Please give me a summary of the current rule set for roller derby. | Roller derby is played in two periods of 30 minutes.: 4 Two teams of up to 15 players each field up to five members for episodes called "jams". Jams last two minutes unless called off prematurely.: 5 Each team designates a scoring player (the "jammer"); the other four members are "blockers". One blocker can be designated as a "pivot"—a blocker who is allowed to become a jammer in the course of play.: 7 The next jam may involve different players of the 15 roster players, and different selections for jammer and pivot.: 7
During each jam, players skate counterclockwise on a circuit track. Points are scored only by a team's jammer. After breaking through the pack and skating one lap to begin another "trip" through the pack, the jammer scores one point for passing any opposing blocker.: 33 [note 1] The rules describe an "earned" pass; notably, the jammer must be in-bounds and upright. The jammer's first earned pass scores a point for passing that blocker and a point for each opponent blocker not on the track (for instance, serving a penalty, or when the opposition did not field five players for the jam). If the jammer passes the entire pack, it is a four-point scoring trip, commonly called a "grand slam".[note 1]
Each team's blockers use body contact, changing positions, and other tactics to help their jammer score while hindering the opposing team's jammer. | A roller derby bout consists of two 30 minute halves.
Players will be on the track for a series of two minute intervals.Each team will have 5 players on the track at one time.
Four players from each are designated blockers, and will play both offense and defense at the same time.
Each team will field one jammer who is the main point scoring skater.
Jammers earn points for passing blockers from the opposing team. | summarization | ### Instruction: Please give me a summary of the current rule set for roller derby.
### Context: Roller derby is played in two periods of 30 minutes.: 4 Two teams of up to 15 players each field up to five members for episodes called "jams". Jams last two minutes unless called off prematurely.: 5 Each team designates a scoring player (the "jammer"); the other four members are "blockers". One blocker can be designated as a "pivot"—a blocker who is allowed to become a jammer in the course of play.: 7 The next jam may involve different players of the 15 roster players, and different selections for jammer and pivot.: 7
During each jam, players skate counterclockwise on a circuit track. Points are scored only by a team's jammer. After breaking through the pack and skating one lap to begin another "trip" through the pack, the jammer scores one point for passing any opposing blocker.: 33 [note 1] The rules describe an "earned" pass; notably, the jammer must be in-bounds and upright. The jammer's first earned pass scores a point for passing that blocker and a point for each opponent blocker not on the track (for instance, serving a penalty, or when the opposition did not field five players for the jam). If the jammer passes the entire pack, it is a four-point scoring trip, commonly called a "grand slam".[note 1]
Each team's blockers use body contact, changing positions, and other tactics to help their jammer score while hindering the opposing team's jammer.
### Answer: A roller derby bout consists of two 30 minute halves.
Players will be on the track for a series of two minute intervals.Each team will have 5 players on the track at one time.
Four players from each are designated blockers, and will play both offense and defense at the same time.
Each team will field one jammer who is the main point scoring skater.
Jammers earn points for passing blockers from the opposing team.</s> |
Which is the largest football stadium in Europe | Camp Nou (Catalan pronunciation: [ˌkamˈnɔw], meaning new field, often referred to in English as the Nou Camp), officially branded as Spotify Camp Nou for sponsorship reasons, is a football stadium in Barcelona, Spain. It has been the home stadium of FC Barcelona since its completion in 1957. With a current seating capacity of 99,354, it is the largest stadium in Spain and Europe, and the second largest association football stadium in the world.
It has hosted two European Cup/Champions League finals in 1989 and 1999, two European Cup Winners' Cup finals, four Inter-Cities Fairs Cup final games, five UEFA Super Cup games, four Copa del Rey finals, two Copa de la Liga finals, and twenty-one Supercopa de España finals. It also hosted five matches in the 1982 FIFA World Cup (including the opening game), two out of four matches at the 1964 European Nations' Cup, and the football tournament's final at the 1992 Summer Olympics.
On 15 March 2022, it was announced that music streaming service Spotify had reached a deal with FC Barcelona to acquire the naming rights to the stadium in a deal worth $310 million. Following the approval of the sponsorship agreement with Spotify by FC Barcelona's Extraordinary Assembly of Delegate Members on 3 April 2022, the stadium was officially renamed on 1 July 2022 as Spotify Camp Nou.
In April 2022, it was announced that renovation of the stadium will commence in June 2022 after the season's end. | The Camp Nou, meaning new field, often referred to in English as the Nou Camp), officially branded as Spotify Camp Nou for sponsorship reasons, is a football stadium in Barcelona, Spain. It has been the home stadium of FC Barcelona since its completion in 1957. With a current seating capacity of 99,354, it is the largest stadium in Spain and Europe, and the second largest association football stadium in the world.
It has hosted two European Cup/Champions League finals in 1989 and 1999, two European Cup Winners' Cup finals, four Inter-Cities Fairs Cup final games, five UEFA Super Cup games, four Copa del Rey finals, two Copa de la Liga finals, and twenty-one Supercopa de España finals. It also hosted five matches in the 1982 FIFA World Cup (including the opening game), two out of four matches at the 1964 European Nations' Cup, and the football tournament's final at the 1992 Summer Olympics.
On 15 March 2022, it was announced that music streaming service Spotify had reached a deal with FC Barcelona to acquire the naming rights to the stadium in a deal worth $310 million. Following the approval of the sponsorship agreement with Spotify by FC Barcelona's Extraordinary Assembly of Delegate Members on 3 April 2022, the stadium was officially renamed on 1 July 2022 as Spotify Camp Nou.
In April 2022, it was announced that renovation of the stadium will commence in June 2022 after the season's end. | summarization | ### Instruction: Which is the largest football stadium in Europe
### Context: Camp Nou (Catalan pronunciation: [ˌkamˈnɔw], meaning new field, often referred to in English as the Nou Camp), officially branded as Spotify Camp Nou for sponsorship reasons, is a football stadium in Barcelona, Spain. It has been the home stadium of FC Barcelona since its completion in 1957. With a current seating capacity of 99,354, it is the largest stadium in Spain and Europe, and the second largest association football stadium in the world.
It has hosted two European Cup/Champions League finals in 1989 and 1999, two European Cup Winners' Cup finals, four Inter-Cities Fairs Cup final games, five UEFA Super Cup games, four Copa del Rey finals, two Copa de la Liga finals, and twenty-one Supercopa de España finals. It also hosted five matches in the 1982 FIFA World Cup (including the opening game), two out of four matches at the 1964 European Nations' Cup, and the football tournament's final at the 1992 Summer Olympics.
On 15 March 2022, it was announced that music streaming service Spotify had reached a deal with FC Barcelona to acquire the naming rights to the stadium in a deal worth $310 million. Following the approval of the sponsorship agreement with Spotify by FC Barcelona's Extraordinary Assembly of Delegate Members on 3 April 2022, the stadium was officially renamed on 1 July 2022 as Spotify Camp Nou.
In April 2022, it was announced that renovation of the stadium will commence in June 2022 after the season's end.
### Answer: The Camp Nou, meaning new field, often referred to in English as the Nou Camp), officially branded as Spotify Camp Nou for sponsorship reasons, is a football stadium in Barcelona, Spain. It has been the home stadium of FC Barcelona since its completion in 1957. With a current seating capacity of 99,354, it is the largest stadium in Spain and Europe, and the second largest association football stadium in the world.
It has hosted two European Cup/Champions League finals in 1989 and 1999, two European Cup Winners' Cup finals, four Inter-Cities Fairs Cup final games, five UEFA Super Cup games, four Copa del Rey finals, two Copa de la Liga finals, and twenty-one Supercopa de España finals. It also hosted five matches in the 1982 FIFA World Cup (including the opening game), two out of four matches at the 1964 European Nations' Cup, and the football tournament's final at the 1992 Summer Olympics.
On 15 March 2022, it was announced that music streaming service Spotify had reached a deal with FC Barcelona to acquire the naming rights to the stadium in a deal worth $310 million. Following the approval of the sponsorship agreement with Spotify by FC Barcelona's Extraordinary Assembly of Delegate Members on 3 April 2022, the stadium was officially renamed on 1 July 2022 as Spotify Camp Nou.
In April 2022, it was announced that renovation of the stadium will commence in June 2022 after the season's end.</s> |
What are some uses of Styrofoam? | Styrofoam has a variety of uses. Styrofoam is composed of 98% air, making it lightweight and buoyant.
DuPont produces Styrofoam building materials, including varieties of building insulation sheathing and pipe insulation. The claimed R-value of Styrofoam insulation is five per inch.
Styrofoam can be used under roads and other structures to prevent soil disturbances due to freezing and thawing.
DuPont also produces Styrofoam blocks and other shapes for use by florists and in craft products. DuPont insulation Styrofoam has a distinctive blue color; Styrofoam for craft applications is available in white and green. | Styrofoam is used in building insulation, as a soil stabilization material, and as crafting material. | summarization | ### Instruction: What are some uses of Styrofoam?
### Context: Styrofoam has a variety of uses. Styrofoam is composed of 98% air, making it lightweight and buoyant.
DuPont produces Styrofoam building materials, including varieties of building insulation sheathing and pipe insulation. The claimed R-value of Styrofoam insulation is five per inch.
Styrofoam can be used under roads and other structures to prevent soil disturbances due to freezing and thawing.
DuPont also produces Styrofoam blocks and other shapes for use by florists and in craft products. DuPont insulation Styrofoam has a distinctive blue color; Styrofoam for craft applications is available in white and green.
### Answer: Styrofoam is used in building insulation, as a soil stabilization material, and as crafting material.</s> |
when was the Playstation 5 announced? | The PlayStation 5 (PS5) is a home video game console developed by Sony Interactive Entertainment. It was announced as the successor to the PlayStation 4 in April 2019, was launched on November 12, 2020, in Australia, Japan, New Zealand, North America, and South Korea, and was released worldwide one week later. The PS5 is part of the ninth generation of video game consoles, along with Microsoft's Xbox Series X/S consoles, which were released in the same month.
The base model includes an optical disc drive compatible with Ultra HD Blu-ray discs. The Digital Edition lacks this drive, as a lower-cost model for buying games only through download. The two variants were launched simultaneously.
The PlayStation 5's main hardware features include a solid-state drive customized for high-speed data streaming to enable significant improvements in storage performance, an AMD GPU capable of 4K resolution display at up to 120 frames per second, hardware-accelerated ray tracing for realistic lighting and reflections, and the Tempest Engine for hardware-accelerated 3D audio effects. Other features include the DualSense controller with haptic feedback, backward compatibility with the majority of PlayStation 4 and PlayStation VR games, and the PlayStation VR2 headset.
History
Development
Mark Cerny, the PlayStation 5's chief architect
The lead architect of the PlayStation console line, Mark Cerny, implemented a two-year feedback cycle after the launch of the PlayStation 4. This entailed regularly visiting Sony's first-party developers at two-year intervals to find out what concerns they had with shortcomings in Sony's current hardware and how such hardware could be improved in console refreshes or for the next generation. This feedback was fed into the priorities for the console development team. In the development of the PlayStation 5, a key issue was the length of loading times for games. Cerny said several developers, including Epic Games' Tim Sweeney, told him that standard I/O speed of hard disk drives was now a limiting factor in pushing game development. Slow data rates placed limits on the size of data being loaded into the game, the physical location of data on the storage medium, and the duplication of data across the medium in order to reduce load times. An important goal was to find ways to reduce loading time, particularly in games that stream or dynamically load new game areas as the player moves through the game world.
Jim Ryan, the CEO of Sony Interactive Entertainment, stated that Sony had researched the feasibility of a "low priced, reduced spec" version of the PlayStation 5, like what Microsoft had done with its Xbox Series X and its lower-power counterpart the Xbox Series S; and concluded that they believed such consoles do not fare well, becoming obsolete too fast.
Marketing and release
Cerny first publicly described the new console in an interview with Wired magazine in April 2019. In early 2019, Sony's financial report for the quarter ending March 31, 2019, affirmed that new next-generation hardware was in development but would ship no earlier than April 2020. In a second Wired magazine interview in October 2019, Sony said it intended to ship its next-generation console worldwide by the end of 2020. The current hardware specifications were revealed in October 2019. At CES 2020, Sony unveiled the official logo for the platform, which follows the similar minimalist styling of the previous PlayStation consoles and brand. Full specifications were given in an online presentation by Cerny and published by Sony and Digital Foundry on March 18, 2020. Digital Foundry spoke with Cerny in detail and published a "deep dive" on April 2.
A major game library showcase had been planned for June 4, 2020, but was postponed until June 11 due to the George Floyd protests. This presentation was also the premiere of the console's external hardware design.
Event lighting being set up at SIE headquarters on the evening of November 8, four days before the launch on November 12, 2020.
Sony planned to launch the PlayStation 5 by the 2020 end-of-year holiday period. The date and pricing was confirmed as part of a game showcase presentation on September 16, 2020; the release date in Australia, Japan, New Zealand, North America, and South Korea was confirmed for November 12, 2020, and for most of the rest of the world on November 19, 2020.
PlayStation 5's release in India was delayed, leading to speculation that a trademark dispute was the reason; the name "PS5" was briefly trademarked by a different person; eventually the dispute was resolved and the system released there on February 2, 2021. The console launched in Indonesia on January 22, 2021. The system launched in China on May 15, 2021.
The console launched with two models: a base version with an Ultra HD Blu-ray compatible optical disc drive for retail game support alongside online distribution via the PlayStation Store, and a lower-cost variant lacking the disc drive and retaining digital download support.
Following the September 16, 2020, presentation, Sony stated that pre-orders for the console were to open at various retailers on the following day. However, several retailers in the United States and the United Kingdom launched pre-orders that evening, causing a rush on pre-orders, including scalping as many stores' inventories were quickly sold out, and creating confusion. Sony apologized for the incident on September 19, 2020, and promised to increase more pre-order deliveries over the coming days and stock through the end of the year.
Worldwide supply of the console has remained low due to a global chip shortage since 2020. Sony expects a short retail stock until 2023. In August 2022, Sony announced a price increase by up to 20% in most of its markets except the US, citing global economic, inflationary, and supply chain pressures. | The PlayStation 5 (PS5) is a home video game console developed by Sony Interactive Entertainment. It was announced as the successor to the PlayStation 4 in April 2019, was launched on November 12, 2020, in Australia, Japan, New Zealand, North America, and South Korea, and was released worldwide one week later. | summarization | ### Instruction: when was the Playstation 5 announced?
### Context: The PlayStation 5 (PS5) is a home video game console developed by Sony Interactive Entertainment. It was announced as the successor to the PlayStation 4 in April 2019, was launched on November 12, 2020, in Australia, Japan, New Zealand, North America, and South Korea, and was released worldwide one week later. The PS5 is part of the ninth generation of video game consoles, along with Microsoft's Xbox Series X/S consoles, which were released in the same month.
The base model includes an optical disc drive compatible with Ultra HD Blu-ray discs. The Digital Edition lacks this drive, as a lower-cost model for buying games only through download. The two variants were launched simultaneously.
The PlayStation 5's main hardware features include a solid-state drive customized for high-speed data streaming to enable significant improvements in storage performance, an AMD GPU capable of 4K resolution display at up to 120 frames per second, hardware-accelerated ray tracing for realistic lighting and reflections, and the Tempest Engine for hardware-accelerated 3D audio effects. Other features include the DualSense controller with haptic feedback, backward compatibility with the majority of PlayStation 4 and PlayStation VR games, and the PlayStation VR2 headset.
History
Development
Mark Cerny, the PlayStation 5's chief architect
The lead architect of the PlayStation console line, Mark Cerny, implemented a two-year feedback cycle after the launch of the PlayStation 4. This entailed regularly visiting Sony's first-party developers at two-year intervals to find out what concerns they had with shortcomings in Sony's current hardware and how such hardware could be improved in console refreshes or for the next generation. This feedback was fed into the priorities for the console development team. In the development of the PlayStation 5, a key issue was the length of loading times for games. Cerny said several developers, including Epic Games' Tim Sweeney, told him that standard I/O speed of hard disk drives was now a limiting factor in pushing game development. Slow data rates placed limits on the size of data being loaded into the game, the physical location of data on the storage medium, and the duplication of data across the medium in order to reduce load times. An important goal was to find ways to reduce loading time, particularly in games that stream or dynamically load new game areas as the player moves through the game world.
Jim Ryan, the CEO of Sony Interactive Entertainment, stated that Sony had researched the feasibility of a "low priced, reduced spec" version of the PlayStation 5, like what Microsoft had done with its Xbox Series X and its lower-power counterpart the Xbox Series S; and concluded that they believed such consoles do not fare well, becoming obsolete too fast.
Marketing and release
Cerny first publicly described the new console in an interview with Wired magazine in April 2019. In early 2019, Sony's financial report for the quarter ending March 31, 2019, affirmed that new next-generation hardware was in development but would ship no earlier than April 2020. In a second Wired magazine interview in October 2019, Sony said it intended to ship its next-generation console worldwide by the end of 2020. The current hardware specifications were revealed in October 2019. At CES 2020, Sony unveiled the official logo for the platform, which follows the similar minimalist styling of the previous PlayStation consoles and brand. Full specifications were given in an online presentation by Cerny and published by Sony and Digital Foundry on March 18, 2020. Digital Foundry spoke with Cerny in detail and published a "deep dive" on April 2.
A major game library showcase had been planned for June 4, 2020, but was postponed until June 11 due to the George Floyd protests. This presentation was also the premiere of the console's external hardware design.
Event lighting being set up at SIE headquarters on the evening of November 8, four days before the launch on November 12, 2020.
Sony planned to launch the PlayStation 5 by the 2020 end-of-year holiday period. The date and pricing was confirmed as part of a game showcase presentation on September 16, 2020; the release date in Australia, Japan, New Zealand, North America, and South Korea was confirmed for November 12, 2020, and for most of the rest of the world on November 19, 2020.
PlayStation 5's release in India was delayed, leading to speculation that a trademark dispute was the reason; the name "PS5" was briefly trademarked by a different person; eventually the dispute was resolved and the system released there on February 2, 2021. The console launched in Indonesia on January 22, 2021. The system launched in China on May 15, 2021.
The console launched with two models: a base version with an Ultra HD Blu-ray compatible optical disc drive for retail game support alongside online distribution via the PlayStation Store, and a lower-cost variant lacking the disc drive and retaining digital download support.
Following the September 16, 2020, presentation, Sony stated that pre-orders for the console were to open at various retailers on the following day. However, several retailers in the United States and the United Kingdom launched pre-orders that evening, causing a rush on pre-orders, including scalping as many stores' inventories were quickly sold out, and creating confusion. Sony apologized for the incident on September 19, 2020, and promised to increase more pre-order deliveries over the coming days and stock through the end of the year.
Worldwide supply of the console has remained low due to a global chip shortage since 2020. Sony expects a short retail stock until 2023. In August 2022, Sony announced a price increase by up to 20% in most of its markets except the US, citing global economic, inflationary, and supply chain pressures.
### Answer: The PlayStation 5 (PS5) is a home video game console developed by Sony Interactive Entertainment. It was announced as the successor to the PlayStation 4 in April 2019, was launched on November 12, 2020, in Australia, Japan, New Zealand, North America, and South Korea, and was released worldwide one week later.</s> |
Who is Travis Payne? | Travis Payne (born July 5, 1971) is an American choreographer, director and producer. He was the choreographer for Michael Jackson's This Is It until Jackson's death. | Travis Payne (born July 5, 1971) is an American choreographer, director and producer. He was the choreographer for Michael Jackson's This Is It until Jackson's death.
Payne also served as the associate producer for This Is It and along with the director, Kenny Ortega, was extensively and intimately involved in the making of the film. To date, This Is It worldwide gross revenue totaled $261.3 million during its theatrical run making it the highest grossing documentary or concert movie of all time.
Travis Payne is the youngest inductee into the Gallery of Greats and the recipient of numerous nominations and awards. He has received the MTV Video Music Award for Best Choreography four times for his work with En Vogue, Salt-N-Pepa as well as Michael Jackson and Janet Jackson on the music video/short-film "Scream" which was listed in the Guinness Book of World Records as the most expensive music video ever made. He also received three American Choreography Awards, including honors for his work on "Scream" and Michael Jackson's Ghosts. Payne was nominated for an Emmy Award for his choreography work with Michael Jackson on the "Dangerous" performance for the 1995 MTV Video Music Awards opening segment. He was again nominated for an Emmy Award in 2006 for his work on Disney's The Suite Life of Zack & Cody. He is also a two-time recipient of the Music Video Producers Association Award for Outstanding Achievement in Choreography for his work with the Brian Setzer Orchestra and Ally McBeal. In December 2009, Payne was featured with a write-up in the Michael Jackson Opus and recognized for his choreography and contribution for his work with the King of Pop. | summarization | ### Instruction: Who is Travis Payne?
### Context: Travis Payne (born July 5, 1971) is an American choreographer, director and producer. He was the choreographer for Michael Jackson's This Is It until Jackson's death.
### Answer: Travis Payne (born July 5, 1971) is an American choreographer, director and producer. He was the choreographer for Michael Jackson's This Is It until Jackson's death.
Payne also served as the associate producer for This Is It and along with the director, Kenny Ortega, was extensively and intimately involved in the making of the film. To date, This Is It worldwide gross revenue totaled $261.3 million during its theatrical run making it the highest grossing documentary or concert movie of all time.
Travis Payne is the youngest inductee into the Gallery of Greats and the recipient of numerous nominations and awards. He has received the MTV Video Music Award for Best Choreography four times for his work with En Vogue, Salt-N-Pepa as well as Michael Jackson and Janet Jackson on the music video/short-film "Scream" which was listed in the Guinness Book of World Records as the most expensive music video ever made. He also received three American Choreography Awards, including honors for his work on "Scream" and Michael Jackson's Ghosts. Payne was nominated for an Emmy Award for his choreography work with Michael Jackson on the "Dangerous" performance for the 1995 MTV Video Music Awards opening segment. He was again nominated for an Emmy Award in 2006 for his work on Disney's The Suite Life of Zack & Cody. He is also a two-time recipient of the Music Video Producers Association Award for Outstanding Achievement in Choreography for his work with the Brian Setzer Orchestra and Ally McBeal. In December 2009, Payne was featured with a write-up in the Michael Jackson Opus and recognized for his choreography and contribution for his work with the King of Pop.</s> |
Who recieves a dowry? | A dowry is a payment, such as property or money, paid by the bride's family to the groom or his family at the time of marriage. Dowry contrasts with the related concepts of bride price and dower. While bride price or bride service is a payment by the groom, or his family, to the bride, or her family, dowry is the wealth transferred from the bride, or her family, to the groom, or his family. Similarly, dower is the property settled on the bride herself, by the groom at the time of marriage, and which remains under her ownership and control. | A dowry is a payment from a bride's family to the groom or his family at the time of marriage. | summarization | ### Instruction: Who recieves a dowry?
### Context: A dowry is a payment, such as property or money, paid by the bride's family to the groom or his family at the time of marriage. Dowry contrasts with the related concepts of bride price and dower. While bride price or bride service is a payment by the groom, or his family, to the bride, or her family, dowry is the wealth transferred from the bride, or her family, to the groom, or his family. Similarly, dower is the property settled on the bride herself, by the groom at the time of marriage, and which remains under her ownership and control.
### Answer: A dowry is a payment from a bride's family to the groom or his family at the time of marriage.</s> |
Please list all the emperors in the following passage | The political unrest began with the murder of Emperor Commodus on New Year's Eve 192. Once Commodus was assassinated, Pertinax was named emperor, but immediately aroused opposition in the Praetorian Guard when he attempted to initiate reforms. They then plotted his assassination, and Pertinax was killed while trying to reason with the mutineers. He had only been emperor for three months. Didius Julianus, who purchased the title from the Praetorian Guard, succeeded Pertinax, but was ousted by Septimius Severus and executed on June 1. Severus was declared Caesar by the Senate, but Pescennius Niger was hostile when he declared himself emperor. This started the civil war between Niger and Severus; both gathered troops and fought throughout the territory of the empire. Due to this war, Severus allowed Clodius Albinus, whom he suspected of being a threat, to be co-Caesar so that Severus did not have to preoccupy himself with imperial governance. This move allowed him to concentrate on waging the war against Niger. Most historians count Severus and Albinus as two emperors, though they ruled simultaneously. The Severan dynasty was created out of the chaos of AD 193. | Commodus, Pertinax, Didius Julianus, Septimius Severus, Clodius Albinus | summarization | ### Instruction: Please list all the emperors in the following passage
### Context: The political unrest began with the murder of Emperor Commodus on New Year's Eve 192. Once Commodus was assassinated, Pertinax was named emperor, but immediately aroused opposition in the Praetorian Guard when he attempted to initiate reforms. They then plotted his assassination, and Pertinax was killed while trying to reason with the mutineers. He had only been emperor for three months. Didius Julianus, who purchased the title from the Praetorian Guard, succeeded Pertinax, but was ousted by Septimius Severus and executed on June 1. Severus was declared Caesar by the Senate, but Pescennius Niger was hostile when he declared himself emperor. This started the civil war between Niger and Severus; both gathered troops and fought throughout the territory of the empire. Due to this war, Severus allowed Clodius Albinus, whom he suspected of being a threat, to be co-Caesar so that Severus did not have to preoccupy himself with imperial governance. This move allowed him to concentrate on waging the war against Niger. Most historians count Severus and Albinus as two emperors, though they ruled simultaneously. The Severan dynasty was created out of the chaos of AD 193.
### Answer: Commodus, Pertinax, Didius Julianus, Septimius Severus, Clodius Albinus</s> |
What happened in Woodstock | Woodstock Music and Art Fair, commonly referred to as Woodstock, was a music festival held during August 15–18, 1969, on Max Yasgur's dairy farm in Bethel, New York, United States, 40 miles (65 km) southwest of the town of Woodstock. Billed as "an Aquarian Exposition: 3 Days of Peace & Music" and alternatively referred to as the Woodstock Rock Festival, it attracted an audience of more than 400,000 attendees. Thirty-two acts performed outdoors despite sporadic rain. It was one of the largest music festivals held in history.
The festival has become widely regarded as a pivotal moment in popular music history as well as a defining event for the counterculture generation. The event's significance was reinforced by a 1970 documentary film, an accompanying soundtrack album, and a song written by Joni Mitchell that became a major hit for both Crosby, Stills, Nash & Young and Matthews Southern Comfort. Musical events bearing the Woodstock name were planned for anniversaries, which included the tenth, twentieth, twenty-fifth, thirtieth, fortieth, and fiftieth. In 2004, Rolling Stone magazine listed it as number 19 of the 50 Moments That Changed the History of Rock and Roll. In 2017, the festival site became listed on the National Register of Historic Places. | The Woodstock Music and Art Fair, commonly referred to as Woodstock, was a music festival held during August 15–18, 1969, on Max Yasgur's dairy farm in Bethel, New York, United States, 40 miles (65 km) southwest of the town of Woodstock. Billed as "an Aquarian Exposition: 3 Days of Peace & Music" and alternatively referred to as the Woodstock Rock Festival, it attracted an audience of more than 400,000 attendees. Thirty-two acts performed outdoors despite sporadic rain. It was one of the largest music festivals held in history.
The festival has become widely regarded as a pivotal moment in popular music history as well as a defining event for the counterculture generation. The event's significance was reinforced by a 1970 documentary film, an accompanying soundtrack album, and a song written by Joni Mitchell that became a major hit for both Crosby, Stills, Nash & Young and Matthews Southern Comfort. Musical events bearing the Woodstock name were planned for anniversaries, which included the tenth, twentieth, twenty-fifth, thirtieth, fortieth, and fiftieth. In 2004, Rolling Stone magazine listed it as number 19 of the 50 Moments That Changed the History of Rock and Roll. In 2017, the festival site became listed on the National Register of Historic Places. | summarization | ### Instruction: What happened in Woodstock
### Context: Woodstock Music and Art Fair, commonly referred to as Woodstock, was a music festival held during August 15–18, 1969, on Max Yasgur's dairy farm in Bethel, New York, United States, 40 miles (65 km) southwest of the town of Woodstock. Billed as "an Aquarian Exposition: 3 Days of Peace & Music" and alternatively referred to as the Woodstock Rock Festival, it attracted an audience of more than 400,000 attendees. Thirty-two acts performed outdoors despite sporadic rain. It was one of the largest music festivals held in history.
The festival has become widely regarded as a pivotal moment in popular music history as well as a defining event for the counterculture generation. The event's significance was reinforced by a 1970 documentary film, an accompanying soundtrack album, and a song written by Joni Mitchell that became a major hit for both Crosby, Stills, Nash & Young and Matthews Southern Comfort. Musical events bearing the Woodstock name were planned for anniversaries, which included the tenth, twentieth, twenty-fifth, thirtieth, fortieth, and fiftieth. In 2004, Rolling Stone magazine listed it as number 19 of the 50 Moments That Changed the History of Rock and Roll. In 2017, the festival site became listed on the National Register of Historic Places.
### Answer: The Woodstock Music and Art Fair, commonly referred to as Woodstock, was a music festival held during August 15–18, 1969, on Max Yasgur's dairy farm in Bethel, New York, United States, 40 miles (65 km) southwest of the town of Woodstock. Billed as "an Aquarian Exposition: 3 Days of Peace & Music" and alternatively referred to as the Woodstock Rock Festival, it attracted an audience of more than 400,000 attendees. Thirty-two acts performed outdoors despite sporadic rain. It was one of the largest music festivals held in history.
The festival has become widely regarded as a pivotal moment in popular music history as well as a defining event for the counterculture generation. The event's significance was reinforced by a 1970 documentary film, an accompanying soundtrack album, and a song written by Joni Mitchell that became a major hit for both Crosby, Stills, Nash & Young and Matthews Southern Comfort. Musical events bearing the Woodstock name were planned for anniversaries, which included the tenth, twentieth, twenty-fifth, thirtieth, fortieth, and fiftieth. In 2004, Rolling Stone magazine listed it as number 19 of the 50 Moments That Changed the History of Rock and Roll. In 2017, the festival site became listed on the National Register of Historic Places.</s> |
Why did the founders of YouTube start with money? | YouTube was founded by Steve Chen, Chad Hurley, and Jawed Karim. The trio were early employees of PayPal, which left them enriched after the company was bought by eBay. Hurley had studied design at the Indiana University of Pennsylvania, and Chen and Karim studied computer science together at the University of Illinois Urbana-Champaign.
According to a story that has often been repeated in the media, Hurley and Chen developed the idea for YouTube during the early months of 2005, after they had experienced difficulty sharing videos that had been shot at a dinner party at Chen's apartment in San Francisco. Karim did not attend the party and denied that it had occurred, but Chen remarked that the idea that YouTube was founded after a dinner party "was probably very strengthened by marketing ideas around creating a story that was very digestible".
Karim said the inspiration for YouTube first came from the Super Bowl XXXVIII halftime show controversy, when Janet Jackson's breast was briefly exposed by Justin Timberlake during the halftime show. Karim could not easily find video clips of the incident and the 2004 Indian Ocean Tsunami online, which led to the idea of a video-sharing site. Hurley and Chen said that the original idea for YouTube was a video version of an online dating service and had been influenced by the website Hot or Not. They created posts on Craigslist asking attractive women to upload videos of themselves to YouTube in exchange for a $100 reward. Difficulty in finding enough dating videos led to a change of plans, with the site's founders deciding to accept uploads of any video.
The YouTube logo used from its launch until 2007; it returned in 2008 before being removed again in 2010. Another version of this logo without the "Broadcast Yourself" slogan was used until 2011.
YouTube began as a venture capital–funded technology startup. Between November 2005 and April 2006, the company raised money from various investors, with Sequoia Capital, $11.5 million, and Artis Capital Management, $8 million, being the largest two. YouTube's early headquarters were situated above a pizzeria and a Japanese restaurant in San Mateo, California. In February 2005, the company activated www.youtube.com. The first video was uploaded April 23, 2005. Titled Me at the zoo, it shows co-founder Jawed Karim at the San Diego Zoo and can still be viewed on the site. In May, the company launched a public beta and by November, a Nike ad featuring Ronaldinho became the first video to reach one million total views. The site launched officially on December 15, 2005, by which time the site was receiving 8 million views a day. Clips at the time were limited to 100 megabytes, as little as 30 seconds of footage.
YouTube was not the first video-sharing site on the Internet; Vimeo was launched in November 2004, though that site remained a side project of its developers from CollegeHumor at the time and did not grow much, either. The week of YouTube's launch, NBC-Universal's Saturday Night Live ran a skit "Lazy Sunday" by The Lonely Island. Besides helping to bolster ratings and long-term viewership for Saturday Night Live, "Lazy Sunday"'s status as an early viral video helped establish YouTube as an important website. Unofficial uploads of the skit to YouTube drew in more than five million collective views by February 2006 before they were removed when NBCUniversal requested it two months later based on copyright concerns. Despite eventually being taken down, these duplicate uploads of the skit helped popularize YouTube's reach and led to the upload of more third-party content. The site grew rapidly; in July 2006, the company announced that more than 65,000 new videos were being uploaded every day and that the site was receiving 100 million video views per day.
The choice of the name www.youtube.com led to problems for a similarly named website, www.utube.com. That site's owner, Universal Tube & Rollform Equipment, filed a lawsuit against YouTube in November 2006 after being regularly overloaded by people looking for YouTube. Universal Tube subsequently changed its website to www.utubeonline.com. | Steve Chen, Chad Hurley, and Jawed Karim were early employees of PayPal, was bought by eBay. | summarization | ### Instruction: Why did the founders of YouTube start with money?
### Context: YouTube was founded by Steve Chen, Chad Hurley, and Jawed Karim. The trio were early employees of PayPal, which left them enriched after the company was bought by eBay. Hurley had studied design at the Indiana University of Pennsylvania, and Chen and Karim studied computer science together at the University of Illinois Urbana-Champaign.
According to a story that has often been repeated in the media, Hurley and Chen developed the idea for YouTube during the early months of 2005, after they had experienced difficulty sharing videos that had been shot at a dinner party at Chen's apartment in San Francisco. Karim did not attend the party and denied that it had occurred, but Chen remarked that the idea that YouTube was founded after a dinner party "was probably very strengthened by marketing ideas around creating a story that was very digestible".
Karim said the inspiration for YouTube first came from the Super Bowl XXXVIII halftime show controversy, when Janet Jackson's breast was briefly exposed by Justin Timberlake during the halftime show. Karim could not easily find video clips of the incident and the 2004 Indian Ocean Tsunami online, which led to the idea of a video-sharing site. Hurley and Chen said that the original idea for YouTube was a video version of an online dating service and had been influenced by the website Hot or Not. They created posts on Craigslist asking attractive women to upload videos of themselves to YouTube in exchange for a $100 reward. Difficulty in finding enough dating videos led to a change of plans, with the site's founders deciding to accept uploads of any video.
The YouTube logo used from its launch until 2007; it returned in 2008 before being removed again in 2010. Another version of this logo without the "Broadcast Yourself" slogan was used until 2011.
YouTube began as a venture capital–funded technology startup. Between November 2005 and April 2006, the company raised money from various investors, with Sequoia Capital, $11.5 million, and Artis Capital Management, $8 million, being the largest two. YouTube's early headquarters were situated above a pizzeria and a Japanese restaurant in San Mateo, California. In February 2005, the company activated www.youtube.com. The first video was uploaded April 23, 2005. Titled Me at the zoo, it shows co-founder Jawed Karim at the San Diego Zoo and can still be viewed on the site. In May, the company launched a public beta and by November, a Nike ad featuring Ronaldinho became the first video to reach one million total views. The site launched officially on December 15, 2005, by which time the site was receiving 8 million views a day. Clips at the time were limited to 100 megabytes, as little as 30 seconds of footage.
YouTube was not the first video-sharing site on the Internet; Vimeo was launched in November 2004, though that site remained a side project of its developers from CollegeHumor at the time and did not grow much, either. The week of YouTube's launch, NBC-Universal's Saturday Night Live ran a skit "Lazy Sunday" by The Lonely Island. Besides helping to bolster ratings and long-term viewership for Saturday Night Live, "Lazy Sunday"'s status as an early viral video helped establish YouTube as an important website. Unofficial uploads of the skit to YouTube drew in more than five million collective views by February 2006 before they were removed when NBCUniversal requested it two months later based on copyright concerns. Despite eventually being taken down, these duplicate uploads of the skit helped popularize YouTube's reach and led to the upload of more third-party content. The site grew rapidly; in July 2006, the company announced that more than 65,000 new videos were being uploaded every day and that the site was receiving 100 million video views per day.
The choice of the name www.youtube.com led to problems for a similarly named website, www.utube.com. That site's owner, Universal Tube & Rollform Equipment, filed a lawsuit against YouTube in November 2006 after being regularly overloaded by people looking for YouTube. Universal Tube subsequently changed its website to www.utubeonline.com.
### Answer: Steve Chen, Chad Hurley, and Jawed Karim were early employees of PayPal, was bought by eBay.</s> |
Jot some points about "Big Four" using given passage as a reference | The Big Four are the four largest professional services networks in the world, the global accounting networks Deloitte, Ernst & Young (EY), KPMG, and PricewaterhouseCoopers (PwC). The four are often grouped because they are comparable in size relative to the rest of the market, both in terms of revenue and workforce; they are considered equal in their ability to provide a wide scope of professional services to their clients; and, among those looking to start a career in professional services, particularly accounting, they are considered equally attractive networks to work in, because of the frequency with which these firms engage with Fortune 500 companies. | 1. Deloitte, Ernst & Young (EY), KPMG, and PricewaterhouseCoopers are the four largest professional services networks in the world together known as "The Big Four." (PwC).
2. The four are frequently grouped together because they have similar sizes to the rest of the market in terms of personnel and income, and they are viewed equally in terms of their capacity to offer a broad range of professional services to their clients.
3. Due to the regularity with which these organisations interact with Fortune 500 corporations, they are equally appealing networks to work in among people seeking to launch a career in professional services, particularly accounting. | summarization | ### Instruction: Jot some points about "Big Four" using given passage as a reference
### Context: The Big Four are the four largest professional services networks in the world, the global accounting networks Deloitte, Ernst & Young (EY), KPMG, and PricewaterhouseCoopers (PwC). The four are often grouped because they are comparable in size relative to the rest of the market, both in terms of revenue and workforce; they are considered equal in their ability to provide a wide scope of professional services to their clients; and, among those looking to start a career in professional services, particularly accounting, they are considered equally attractive networks to work in, because of the frequency with which these firms engage with Fortune 500 companies.
### Answer: 1. Deloitte, Ernst & Young (EY), KPMG, and PricewaterhouseCoopers are the four largest professional services networks in the world together known as "The Big Four." (PwC).
2. The four are frequently grouped together because they have similar sizes to the rest of the market in terms of personnel and income, and they are viewed equally in terms of their capacity to offer a broad range of professional services to their clients.
3. Due to the regularity with which these organisations interact with Fortune 500 corporations, they are equally appealing networks to work in among people seeking to launch a career in professional services, particularly accounting.</s> |
What is Cricket in sports? | Cricket is a bat-and-ball game played between two teams of eleven players on a field at the centre of which is a 22-yard (20-metre) pitch with a wicket at each end, each comprising two bails balanced on three stumps. The batting side scores runs by striking the ball bowled at one of the wickets with the bat and then running between the wickets, while the bowling and fielding side tries to prevent this (by preventing the ball from leaving the field, and getting the ball to either wicket) and dismiss each batter (so they are "out"). Means of dismissal include being bowled, when the ball hits the stumps and dislodges the bails, and by the fielding side either catching the ball after it is hit by the bat, but before it hits the ground, or hitting a wicket with the ball before a batter can cross the crease in front of the wicket. When ten batters have been dismissed, the innings ends and the teams swap roles. The game is adjudicated by two umpires, aided by a third umpire and match referee in international matches. They communicate with two off-field scorers who record the match's statistical information. | Cricket is a bat and ball game between two teams of 11 players. Each team will bat and bowl alternatively. The batting side scores runs by striking the ball bowled at one of the wickets with the bat and then running between the wickets, while the bowling and fielding side tries to prevent this and dismiss each batter. | summarization | ### Instruction: What is Cricket in sports?
### Context: Cricket is a bat-and-ball game played between two teams of eleven players on a field at the centre of which is a 22-yard (20-metre) pitch with a wicket at each end, each comprising two bails balanced on three stumps. The batting side scores runs by striking the ball bowled at one of the wickets with the bat and then running between the wickets, while the bowling and fielding side tries to prevent this (by preventing the ball from leaving the field, and getting the ball to either wicket) and dismiss each batter (so they are "out"). Means of dismissal include being bowled, when the ball hits the stumps and dislodges the bails, and by the fielding side either catching the ball after it is hit by the bat, but before it hits the ground, or hitting a wicket with the ball before a batter can cross the crease in front of the wicket. When ten batters have been dismissed, the innings ends and the teams swap roles. The game is adjudicated by two umpires, aided by a third umpire and match referee in international matches. They communicate with two off-field scorers who record the match's statistical information.
### Answer: Cricket is a bat and ball game between two teams of 11 players. Each team will bat and bowl alternatively. The batting side scores runs by striking the ball bowled at one of the wickets with the bat and then running between the wickets, while the bowling and fielding side tries to prevent this and dismiss each batter.</s> |
Based on the reference text, provide a one sentence overview of Dogecoin | Dogecoin (/ˈdoʊ(d)ʒkɔɪn/ DOHJ-koyn or DOHZH-koyn, Abbreviation: DOGE; sign: Ð) is a cryptocurrency created by software engineers Billy Markus and Jackson Palmer, who decided to create a payment system as a "joke", making fun of the wild speculation in cryptocurrencies at the time. It is considered both the first "meme coin", and, more specifically, the first "dog coin". Despite its satirical nature, some consider it a legitimate investment prospect. Dogecoin features the face of the Shiba Inu dog from the "doge" meme as its logo and namesake. It was introduced on December 6, 2013, and quickly developed its own online community, reaching a market capitalization of over $85 billion on May 5, 2021. As of 2021, it is the sleeve sponsor of Watford Football Club.
Dogecoin.com promotes the currency as the "fun and friendly Internet currency", referencing its origins as a "joke". Software engineers Billy Markus and Jackson Palmer launched the satirical cryptocurrency as a way to make fun of Bitcoin and the many other cryptocurrencies boasting grand plans to take over the world. With the help of Reddit, the site became an instant hit. Within two weeks, Dogecoin had established a dedicated blog and forum, and its market value has reached US$8 million, once jumping to become the seventh largest electronic currency in the world. Dogecoin is based on Scrypt algorithm, and the transaction process is more convenient than Bitcoin.[citation needed] Dogecoin takes only 1 minute to confirm, while BTC takes 10 minutes. | Dogecoin is a cryptocurrency that features the face of a dog the was created as a joke to make fun of Bitcoin and other cryptocurrencies. | summarization | ### Instruction: Based on the reference text, provide a one sentence overview of Dogecoin
### Context: Dogecoin (/ˈdoʊ(d)ʒkɔɪn/ DOHJ-koyn or DOHZH-koyn, Abbreviation: DOGE; sign: Ð) is a cryptocurrency created by software engineers Billy Markus and Jackson Palmer, who decided to create a payment system as a "joke", making fun of the wild speculation in cryptocurrencies at the time. It is considered both the first "meme coin", and, more specifically, the first "dog coin". Despite its satirical nature, some consider it a legitimate investment prospect. Dogecoin features the face of the Shiba Inu dog from the "doge" meme as its logo and namesake. It was introduced on December 6, 2013, and quickly developed its own online community, reaching a market capitalization of over $85 billion on May 5, 2021. As of 2021, it is the sleeve sponsor of Watford Football Club.
Dogecoin.com promotes the currency as the "fun and friendly Internet currency", referencing its origins as a "joke". Software engineers Billy Markus and Jackson Palmer launched the satirical cryptocurrency as a way to make fun of Bitcoin and the many other cryptocurrencies boasting grand plans to take over the world. With the help of Reddit, the site became an instant hit. Within two weeks, Dogecoin had established a dedicated blog and forum, and its market value has reached US$8 million, once jumping to become the seventh largest electronic currency in the world. Dogecoin is based on Scrypt algorithm, and the transaction process is more convenient than Bitcoin.[citation needed] Dogecoin takes only 1 minute to confirm, while BTC takes 10 minutes.
### Answer: Dogecoin is a cryptocurrency that features the face of a dog the was created as a joke to make fun of Bitcoin and other cryptocurrencies.</s> |
What is money | Money is any item or verifiable record that is generally accepted as payment for goods and services and repayment of debts, such as taxes, in a particular country or socio-economic context. The primary functions which distinguish money are as a medium of exchange, a unit of account, a store of value and sometimes, a standard of deferred payment.
Money was historically an emergent market phenomenon that possess intrinsic value as a commodity; nearly all contemporary money systems are based on unbacked fiat money without use value. Its value is consequently derived by social convention, having been declared by a government or regulatory entity to be legal tender; that is, it must be accepted as a form of payment within the boundaries of the country, for "all debts, public and private", in the case of the United States dollar.
The money supply of a country comprises all currency in circulation (banknotes and coins currently issued) and, depending on the particular definition used, one or more types of bank money (the balances held in checking accounts, savings accounts, and other types of bank accounts). Bank money, whose value exists on the books of financial institutions and can be converted into physical notes or used for cashless payment, forms by far the largest part of broad money in developed countries. | Money is a medium of physically or virtually providing a measure of value, store of value and a medium of exchange. Money is a unit of account and a standard of deferred payment. | summarization | ### Instruction: What is money
### Context: Money is any item or verifiable record that is generally accepted as payment for goods and services and repayment of debts, such as taxes, in a particular country or socio-economic context. The primary functions which distinguish money are as a medium of exchange, a unit of account, a store of value and sometimes, a standard of deferred payment.
Money was historically an emergent market phenomenon that possess intrinsic value as a commodity; nearly all contemporary money systems are based on unbacked fiat money without use value. Its value is consequently derived by social convention, having been declared by a government or regulatory entity to be legal tender; that is, it must be accepted as a form of payment within the boundaries of the country, for "all debts, public and private", in the case of the United States dollar.
The money supply of a country comprises all currency in circulation (banknotes and coins currently issued) and, depending on the particular definition used, one or more types of bank money (the balances held in checking accounts, savings accounts, and other types of bank accounts). Bank money, whose value exists on the books of financial institutions and can be converted into physical notes or used for cashless payment, forms by far the largest part of broad money in developed countries.
### Answer: Money is a medium of physically or virtually providing a measure of value, store of value and a medium of exchange. Money is a unit of account and a standard of deferred payment.</s> |
what was the American Revolutionary War | The American Revolutionary War (April 19, 1775 – September 3, 1783), also known as the Revolutionary War or American War of Independence, was the military conflict of the American Revolution in which American Patriot forces under George Washington's command defeated the British, establishing and securing the independence of the United States. | The American Revolutionary War (April 19, 1775 – September 3, 1783), also known as the Revolutionary War or American War of Independence, was the military conflict of the American Revolution in which American Patriot forces under George Washington's command defeated the British, establishing and securing the independence of the United States. Fighting began on April 19, 1775 at the Battles of Lexington and Concord. The war was formalized and intensified following passage of the Lee Resolution, which asserted that the Thirteen Colonies were "free and independent states", and the Declaration of Independence, drafted by the Committee of Five and written primarily by Thomas Jefferson, by the Second Continental Congress in Philadelphia, on July 2, 1776 and July 4, 1776, respectively. | summarization | ### Instruction: what was the American Revolutionary War
### Context: The American Revolutionary War (April 19, 1775 – September 3, 1783), also known as the Revolutionary War or American War of Independence, was the military conflict of the American Revolution in which American Patriot forces under George Washington's command defeated the British, establishing and securing the independence of the United States.
### Answer: The American Revolutionary War (April 19, 1775 – September 3, 1783), also known as the Revolutionary War or American War of Independence, was the military conflict of the American Revolution in which American Patriot forces under George Washington's command defeated the British, establishing and securing the independence of the United States. Fighting began on April 19, 1775 at the Battles of Lexington and Concord. The war was formalized and intensified following passage of the Lee Resolution, which asserted that the Thirteen Colonies were "free and independent states", and the Declaration of Independence, drafted by the Committee of Five and written primarily by Thomas Jefferson, by the Second Continental Congress in Philadelphia, on July 2, 1776 and July 4, 1776, respectively.</s> |
What is this text about? | There are many modern variations of gazpacho with avocados, cucumbers, parsley, strawberries, watermelon, grapes, meat stock, seafood, and other ingredients instead of tomatoes and bread. The ingredients, texture, and thickness of gazpacho vary regionally and between different cooks. Similar cold raw soups such as arjamolho in Portugal, porra antequerana and ajoblanco, are also popular in Andalusia, although not as widespread as gazpacho. Gazpacho and salmorejo are especially similar since they are both tomato-based cold soups that are widely popular in Spain; the main difference between gazpacho and salmorejo is the culinary technique used since gazpacho is a soup whereas salmorejo is an emulsion. In addition, while both dishes share the main ingredients of tomato, olive oil, bread, and garlic, gazpacho can also be prepared with cucumber, peppers, and vinegar, whereas salmorejo cannot. The original recipe using bread, water, vinegar, oil, and salt is traditional in the Iberian Peninsula, perhaps going back to Roman times. Every central and southern region has its own variety. The humble gazpacho became a very deeply rooted food for peasants and shepherds in Spain. The basic gazpacho gave rise to many variants, some also called gazpacho, others not; some authors have tried to classify all these variations. Gazpachos may be classified by colour: the most usual red ones (which contain tomato), white ones (which contain no tomato, but include dried fruits), and green ones (which are white but contain some spices that make them green). These variants have their basic ingredients in common, including garlic paste which works as an emulsifier, bread, olive oil, vinegar and salt. In addition to the traditional ingredients, red fruits such as strawberries, muskmelon, etc., may be added, making the gazpacho a bit sweeter. Gazpacho may be served as a starter, main dish, or tapa.
A popular variation comes from the town of Rota in the province of Cádiz. During times of drought, there was not enough water to make gazpacho; thus, arranque has the same ingredients as gazpacho, but requires less water and bread, making it a sort of cream. Some people add more bread until it takes on the consistency of a dip.
In Extremadura, gazpachos are a kind of purée or thick gazpacho known as cojondongo, or cojondongo del gañán, made of breadcrumbs, garlic, oil, and vinegar, then topped with chopped onions, tomato and peppers.
Gazpacho manchego, as its name implies, is made in the east region of La Mancha, in Albacete and nearby areas, and is popular in other areas in the center and southwest of the country. It is a meat stew, whose main ingredients are small game animals or birds such as rabbit, hare, quail, or pigeon, and flatbread, and may include garlic, tomatoes, and mushrooms. It is cooked in a cauldron and served hot. Another well-known variant in La Mancha is gazpacho de pastor or galiano. Some other hot meat or fish dishes from other regions are called gazpacho (gazpacho jumillano, gazpacho de Yecla, gazpacho de Requena, etc.)
Gazpacho is often eaten during the very hot and dry summers in Castilla y León. The gazpacho made in La Moraña in the province of Ávila has large pieces of vegetables floating in a watery soup.
Gazpacho manchego, despite its name, is a meat stew, served hot, not a variation on the cold vegetable soup. | This text is about variations of Gazpachos. It lists different recipes and explains influences from regions and cultural roots. It also mentions that despite some dishes may contain Gazpacho in their name, not all are variations from the original Gazpacho. | summarization | ### Instruction: What is this text about?
### Context: There are many modern variations of gazpacho with avocados, cucumbers, parsley, strawberries, watermelon, grapes, meat stock, seafood, and other ingredients instead of tomatoes and bread. The ingredients, texture, and thickness of gazpacho vary regionally and between different cooks. Similar cold raw soups such as arjamolho in Portugal, porra antequerana and ajoblanco, are also popular in Andalusia, although not as widespread as gazpacho. Gazpacho and salmorejo are especially similar since they are both tomato-based cold soups that are widely popular in Spain; the main difference between gazpacho and salmorejo is the culinary technique used since gazpacho is a soup whereas salmorejo is an emulsion. In addition, while both dishes share the main ingredients of tomato, olive oil, bread, and garlic, gazpacho can also be prepared with cucumber, peppers, and vinegar, whereas salmorejo cannot. The original recipe using bread, water, vinegar, oil, and salt is traditional in the Iberian Peninsula, perhaps going back to Roman times. Every central and southern region has its own variety. The humble gazpacho became a very deeply rooted food for peasants and shepherds in Spain. The basic gazpacho gave rise to many variants, some also called gazpacho, others not; some authors have tried to classify all these variations. Gazpachos may be classified by colour: the most usual red ones (which contain tomato), white ones (which contain no tomato, but include dried fruits), and green ones (which are white but contain some spices that make them green). These variants have their basic ingredients in common, including garlic paste which works as an emulsifier, bread, olive oil, vinegar and salt. In addition to the traditional ingredients, red fruits such as strawberries, muskmelon, etc., may be added, making the gazpacho a bit sweeter. Gazpacho may be served as a starter, main dish, or tapa.
A popular variation comes from the town of Rota in the province of Cádiz. During times of drought, there was not enough water to make gazpacho; thus, arranque has the same ingredients as gazpacho, but requires less water and bread, making it a sort of cream. Some people add more bread until it takes on the consistency of a dip.
In Extremadura, gazpachos are a kind of purée or thick gazpacho known as cojondongo, or cojondongo del gañán, made of breadcrumbs, garlic, oil, and vinegar, then topped with chopped onions, tomato and peppers.
Gazpacho manchego, as its name implies, is made in the east region of La Mancha, in Albacete and nearby areas, and is popular in other areas in the center and southwest of the country. It is a meat stew, whose main ingredients are small game animals or birds such as rabbit, hare, quail, or pigeon, and flatbread, and may include garlic, tomatoes, and mushrooms. It is cooked in a cauldron and served hot. Another well-known variant in La Mancha is gazpacho de pastor or galiano. Some other hot meat or fish dishes from other regions are called gazpacho (gazpacho jumillano, gazpacho de Yecla, gazpacho de Requena, etc.)
Gazpacho is often eaten during the very hot and dry summers in Castilla y León. The gazpacho made in La Moraña in the province of Ávila has large pieces of vegetables floating in a watery soup.
Gazpacho manchego, despite its name, is a meat stew, served hot, not a variation on the cold vegetable soup.
### Answer: This text is about variations of Gazpachos. It lists different recipes and explains influences from regions and cultural roots. It also mentions that despite some dishes may contain Gazpacho in their name, not all are variations from the original Gazpacho.</s> |
What is the New Administrative Capital of Egypt? | The New Administrative Capital (NAC) (Arabic: العاصمة الإدارية الجديدة, romanized: al-ʿĀṣima al-ʾIdārīya al-Gadīda) is a new urban community in Cairo Governorate, Egypt and a satellite of Cairo City. It is planned to be Egypt's new capital and has been under construction since 2015. It was announced by the then Egyptian housing minister Mostafa Madbouly at the Egypt Economic Development Conference on 13 March 2015. The capital city is considered one of the projects for economic development, and is part of a larger initiative called Egypt Vision 2030. | The New Administrative Capital is planned city that will replace Cairo as the capital or Egypt. Construction has been underway since 2015 and is planned to be ready by 2030. | summarization | ### Instruction: What is the New Administrative Capital of Egypt?
### Context: The New Administrative Capital (NAC) (Arabic: العاصمة الإدارية الجديدة, romanized: al-ʿĀṣima al-ʾIdārīya al-Gadīda) is a new urban community in Cairo Governorate, Egypt and a satellite of Cairo City. It is planned to be Egypt's new capital and has been under construction since 2015. It was announced by the then Egyptian housing minister Mostafa Madbouly at the Egypt Economic Development Conference on 13 March 2015. The capital city is considered one of the projects for economic development, and is part of a larger initiative called Egypt Vision 2030.
### Answer: The New Administrative Capital is planned city that will replace Cairo as the capital or Egypt. Construction has been underway since 2015 and is planned to be ready by 2030.</s> |
Without quoting directly from the text, briefly describe how the United Kingdom was formed from its constituent countries. | The British monarchy traces its origins from the petty kingdoms of Anglo-Saxon England and early medieval Scotland, which consolidated into the kingdoms of England and Scotland by the 10th century. England was conquered by the Normans in 1066, after which Wales also gradually came under the control of Anglo-Normans. The process was completed in the 13th century when the Principality of Wales became a client state of the English kingdom. Meanwhile, Magna Carta began the process of reducing the English monarch's political powers. In the 16th century, English and Scottish monarchs played a central role in what became the religious English Reformation and Scottish Reformation. From 1603, the English and Scottish kingdoms were ruled by a single sovereign. From 1649 to 1660, the tradition of monarchy was broken by the republican Commonwealth of England, which followed the Wars of the Three Kingdoms. Following the installation of William III and Mary II as co-monarchs in the Glorious Revolution, the Bill of Rights 1689, and its Scottish counterpart the Claim of Right Act 1689, further curtailed the power of the monarchy and excluded Roman Catholics from succession to the throne. In 1707, the kingdoms of England and Scotland were merged to create the Kingdom of Great Britain, and in 1801, the Kingdom of Ireland joined to create the United Kingdom of Great Britain and Ireland. The British monarch was the nominal head of the vast British Empire, which covered a quarter of the world's land area at its greatest extent in 1921. | The United Kingdom is now made up of England, Wales, Scotland and Northern Ireland. These countries were finally united in 1801, after England and Scotland (which had merged in 1707) were joined by the Kingdom of Ireland. | summarization | ### Instruction: Without quoting directly from the text, briefly describe how the United Kingdom was formed from its constituent countries.
### Context: The British monarchy traces its origins from the petty kingdoms of Anglo-Saxon England and early medieval Scotland, which consolidated into the kingdoms of England and Scotland by the 10th century. England was conquered by the Normans in 1066, after which Wales also gradually came under the control of Anglo-Normans. The process was completed in the 13th century when the Principality of Wales became a client state of the English kingdom. Meanwhile, Magna Carta began the process of reducing the English monarch's political powers. In the 16th century, English and Scottish monarchs played a central role in what became the religious English Reformation and Scottish Reformation. From 1603, the English and Scottish kingdoms were ruled by a single sovereign. From 1649 to 1660, the tradition of monarchy was broken by the republican Commonwealth of England, which followed the Wars of the Three Kingdoms. Following the installation of William III and Mary II as co-monarchs in the Glorious Revolution, the Bill of Rights 1689, and its Scottish counterpart the Claim of Right Act 1689, further curtailed the power of the monarchy and excluded Roman Catholics from succession to the throne. In 1707, the kingdoms of England and Scotland were merged to create the Kingdom of Great Britain, and in 1801, the Kingdom of Ireland joined to create the United Kingdom of Great Britain and Ireland. The British monarch was the nominal head of the vast British Empire, which covered a quarter of the world's land area at its greatest extent in 1921.
### Answer: The United Kingdom is now made up of England, Wales, Scotland and Northern Ireland. These countries were finally united in 1801, after England and Scotland (which had merged in 1707) were joined by the Kingdom of Ireland.</s> |
Summarize the passage | The Osborne effect is a social phenomenon of customers canceling or deferring orders for the current, soon-to-be-obsolete product as an unexpected drawback of a company's announcing a future product prematurely. It is an example of cannibalization.
The term alludes to the Osborne Computer Corporation, whose second product did not become available until more than a year after it was announced. The company's subsequent bankruptcy was widely blamed on reduced sales after the announcement.
The Osborne Effect states that prematurely discussing future, unavailable products damages sales of existing products. The name comes from the planned replacement of the Osborne 1, an early personal computer first sold by the Osborne Computer Corporation in 1981. In 1983, founder Adam Osborne pre-announced several next-generation computer models (the Osborne Executive and Osborne Vixen), which were only prototypes, highlighting the fact that they would outperform the existing model as the prototypes dramatically cut down assembly time. A widely held belief was that sales of the Osborne 1 fell sharply as customers anticipated those more advanced systems, leading to a sales decline from which Osborne Computer was unable to recover. This belief appeared in the media almost immediately after the company's September 1983 bankruptcy:
To give the jazzy $2,495 Osborne Executive a running start, Adam began orchestrating publicity early in 1983. We, along with many other magazines, were shown the machine in locked hotel rooms. We were required not to have anything in print about it until the planned release date in mid-April. As far as we know, nothing did appear in print, but dealers heard about the plans and cancelled orders for the Osborne 1 in droves. In early April, Osborne told dealers he would be showing them the machine on a one-week tour the week of 17 April, and emphasized that the new machine was not a competitor for the Osborne 1. But dealers didn't react the way Osborne expected; said Osborne, "All of them just cancelled their orders for the Osborne 1."
Osborne reacted by drastically cutting prices on the Osborne 1 in an effort to stimulate cash flow. But nothing seemed to work, and for several months sales were practically non-existent.
Pre-announcement is done for several reasons: to reassure current customers that there is improvement or lower cost coming, to increase the interest of the media and investors in the company's future prospects, and to intimidate or confuse competitors. When done correctly, the sales or cash flow impact to the company is minimal, with the revenue drop for the current product being offset by orders or completed sales of the new product as it becomes available. However, when the Osborne effect occurs, the quantity of unsold goods increases and the company must react by discounting and/or lowering production of the current product, both of which depress cash flow. | The Osborne effect is a social phenomenon of customers canceling or deferring orders for the current but soon-to-be-obsolete product. This happens as an unexpected drawback of a company's announcing a future product prematurely. It is an example of cannibalization. The term originates from the bankruptcy of Osborne Computer Corporation. It was caused when the company announced the more performant successors for their current product Osborne 1 much in advance. It led customers and dealers to cancel orders their Osborne 1 orders. | summarization | ### Instruction: Summarize the passage
### Context: The Osborne effect is a social phenomenon of customers canceling or deferring orders for the current, soon-to-be-obsolete product as an unexpected drawback of a company's announcing a future product prematurely. It is an example of cannibalization.
The term alludes to the Osborne Computer Corporation, whose second product did not become available until more than a year after it was announced. The company's subsequent bankruptcy was widely blamed on reduced sales after the announcement.
The Osborne Effect states that prematurely discussing future, unavailable products damages sales of existing products. The name comes from the planned replacement of the Osborne 1, an early personal computer first sold by the Osborne Computer Corporation in 1981. In 1983, founder Adam Osborne pre-announced several next-generation computer models (the Osborne Executive and Osborne Vixen), which were only prototypes, highlighting the fact that they would outperform the existing model as the prototypes dramatically cut down assembly time. A widely held belief was that sales of the Osborne 1 fell sharply as customers anticipated those more advanced systems, leading to a sales decline from which Osborne Computer was unable to recover. This belief appeared in the media almost immediately after the company's September 1983 bankruptcy:
To give the jazzy $2,495 Osborne Executive a running start, Adam began orchestrating publicity early in 1983. We, along with many other magazines, were shown the machine in locked hotel rooms. We were required not to have anything in print about it until the planned release date in mid-April. As far as we know, nothing did appear in print, but dealers heard about the plans and cancelled orders for the Osborne 1 in droves. In early April, Osborne told dealers he would be showing them the machine on a one-week tour the week of 17 April, and emphasized that the new machine was not a competitor for the Osborne 1. But dealers didn't react the way Osborne expected; said Osborne, "All of them just cancelled their orders for the Osborne 1."
Osborne reacted by drastically cutting prices on the Osborne 1 in an effort to stimulate cash flow. But nothing seemed to work, and for several months sales were practically non-existent.
Pre-announcement is done for several reasons: to reassure current customers that there is improvement or lower cost coming, to increase the interest of the media and investors in the company's future prospects, and to intimidate or confuse competitors. When done correctly, the sales or cash flow impact to the company is minimal, with the revenue drop for the current product being offset by orders or completed sales of the new product as it becomes available. However, when the Osborne effect occurs, the quantity of unsold goods increases and the company must react by discounting and/or lowering production of the current product, both of which depress cash flow.
### Answer: The Osborne effect is a social phenomenon of customers canceling or deferring orders for the current but soon-to-be-obsolete product. This happens as an unexpected drawback of a company's announcing a future product prematurely. It is an example of cannibalization. The term originates from the bankruptcy of Osborne Computer Corporation. It was caused when the company announced the more performant successors for their current product Osborne 1 much in advance. It led customers and dealers to cancel orders their Osborne 1 orders.</s> |
What's special about Novy Urkarakh, the town in Russia? | Novy Urkarakh (Russian: Новый Уркарах; Dargwa: Сагаси Уркарахъ) is a rural locality (a selo) in Urkarkhsky Selsoviet, Dakhadayevsky District, Republic of Dagestan, Russia. The population was 1,101 as of 2010. There are 9 streets. Dargins live there. | In Russia, the town of Novy Urkarakh is actually referred to as a selo. Selo's are very small rural communities spread across the country. In fact, Novy Urkarakh is so small that it is home to only 1,101 Dargins. Residents of the community get around and live on nine paved roads. Novy Urkarakh is that small! | summarization | ### Instruction: What's special about Novy Urkarakh, the town in Russia?
### Context: Novy Urkarakh (Russian: Новый Уркарах; Dargwa: Сагаси Уркарахъ) is a rural locality (a selo) in Urkarkhsky Selsoviet, Dakhadayevsky District, Republic of Dagestan, Russia. The population was 1,101 as of 2010. There are 9 streets. Dargins live there.
### Answer: In Russia, the town of Novy Urkarakh is actually referred to as a selo. Selo's are very small rural communities spread across the country. In fact, Novy Urkarakh is so small that it is home to only 1,101 Dargins. Residents of the community get around and live on nine paved roads. Novy Urkarakh is that small!</s> |
Please let me know the details of 1MDB saga and scandal. | The 1Malaysia Development Berhad scandal, often referred to as the 1MDB scandal or just 1MDB, describes a corruption, bribery and money laundering conspiracy in which the Malaysian sovereign wealth fund 1Malaysia Development Berhad (1MDB) was systematically embezzled, with assets diverted globally by the perpetrators of the scheme. It had a global scope, implicated institutions and individuals in politics, banking, and entertainment, and sparked criminal investigations across a number of nations. The 1MDB scandal has been described as "one of the world's greatest financial scandals" and declared by the United States Department of Justice as the "largest kleptocracy case to date" in 2016. | Originally 1MDB stands for of 1Malaysia Development Berhad was a Malaysian state fund, set up in 2009 to promote development through foreign investment and partnerships. The then prime minister, Najib Razak, was its chairman.
The fund has since been at the heart of one of the biggest corruption scandals in the world. The US justice department believes more than $4.5bn was stolen by Jho Low and the resulting scandal has been responsible for the toppling of a government this year and the arrest of Najib, his wife, Rosmah Mansor, and a growing number of close associates. | summarization | ### Instruction: Please let me know the details of 1MDB saga and scandal.
### Context: The 1Malaysia Development Berhad scandal, often referred to as the 1MDB scandal or just 1MDB, describes a corruption, bribery and money laundering conspiracy in which the Malaysian sovereign wealth fund 1Malaysia Development Berhad (1MDB) was systematically embezzled, with assets diverted globally by the perpetrators of the scheme. It had a global scope, implicated institutions and individuals in politics, banking, and entertainment, and sparked criminal investigations across a number of nations. The 1MDB scandal has been described as "one of the world's greatest financial scandals" and declared by the United States Department of Justice as the "largest kleptocracy case to date" in 2016.
### Answer: Originally 1MDB stands for of 1Malaysia Development Berhad was a Malaysian state fund, set up in 2009 to promote development through foreign investment and partnerships. The then prime minister, Najib Razak, was its chairman.
The fund has since been at the heart of one of the biggest corruption scandals in the world. The US justice department believes more than $4.5bn was stolen by Jho Low and the resulting scandal has been responsible for the toppling of a government this year and the arrest of Najib, his wife, Rosmah Mansor, and a growing number of close associates.</s> |
What is gravity? | In physics, gravity (from Latin gravitas 'weight') is a fundamental interaction which causes mutual attraction between all things with mass or energy. Gravity is, by far, the weakest of the four fundamental interactions, approximately 10^38 times weaker than the strong interaction, 10^36 times weaker than the electromagnetic force and 10^29 times weaker than the weak interaction. As a result, it has no significant influence at the level of subatomic particles. However, gravity is the most significant interaction between objects at the macroscopic scale, and it determines the motion of planets, stars, galaxies, and even light. | Gravity can be described as the fundamental interaction which causes mutual attraction between all objects with mass or energy. While it is considered the weakest of the four fundamental forces (electromagnetic, strong interaction, and weak interaction), it is most significant force at the macroscopic scale and can influence the motion of planets, stars, galaxies, and light. | summarization | ### Instruction: What is gravity?
### Context: In physics, gravity (from Latin gravitas 'weight') is a fundamental interaction which causes mutual attraction between all things with mass or energy. Gravity is, by far, the weakest of the four fundamental interactions, approximately 10^38 times weaker than the strong interaction, 10^36 times weaker than the electromagnetic force and 10^29 times weaker than the weak interaction. As a result, it has no significant influence at the level of subatomic particles. However, gravity is the most significant interaction between objects at the macroscopic scale, and it determines the motion of planets, stars, galaxies, and even light.
### Answer: Gravity can be described as the fundamental interaction which causes mutual attraction between all objects with mass or energy. While it is considered the weakest of the four fundamental forces (electromagnetic, strong interaction, and weak interaction), it is most significant force at the macroscopic scale and can influence the motion of planets, stars, galaxies, and light.</s> |
What is salvation in christianity? | In Christianity, salvation (also called deliverance or redemption) is the "saving human beings from sin and its consequences, which include death and separation from God" by Christ's death and resurrection, and the justification following this salvation.
While the idea of Jesus' death as an atonement for human sin was recorded in the Christian Bible, and was elaborated in Paul's epistles and in the Gospels, Paul saw the faithful redeemed by participation in Jesus' death and rising. Early Christians regarded themselves as partaking in a new covenant with God, open to both Jews and Gentiles, through the sacrificial death and subsequent exaltation of Jesus Christ. Early Christian notions of the person and sacrificial role of Jesus in human salvation were further elaborated by the Church Fathers, medieval writers and modern scholars in various atonement theories, such as the ransom theory, Christus Victor theory, recapitulation theory, satisfaction theory, penal substitution theory and moral influence theory.
Variant views on salvation (soteriology) are among the main fault lines dividing the various Christian denominations, including conflicting definitions of sin and depravity (the sinful nature of mankind), justification (God's means of removing the consequences of sin), and atonement (the forgiving or pardoning of sin through the suffering, death and resurrection of Jesus). | Salvation in christianity is the redemption of human beings from the consequences of their sins through the death and resurrection of Jesus Christ. Jesus's death is counted as the payment for the sin of all mankind, as recorded by Paul in his letters. This salvation is open to everyone, not just the jews. Anyone who believes that Jesus died for their sins and rose again receives the salvation that God has to offer. | summarization | ### Instruction: What is salvation in christianity?
### Context: In Christianity, salvation (also called deliverance or redemption) is the "saving human beings from sin and its consequences, which include death and separation from God" by Christ's death and resurrection, and the justification following this salvation.
While the idea of Jesus' death as an atonement for human sin was recorded in the Christian Bible, and was elaborated in Paul's epistles and in the Gospels, Paul saw the faithful redeemed by participation in Jesus' death and rising. Early Christians regarded themselves as partaking in a new covenant with God, open to both Jews and Gentiles, through the sacrificial death and subsequent exaltation of Jesus Christ. Early Christian notions of the person and sacrificial role of Jesus in human salvation were further elaborated by the Church Fathers, medieval writers and modern scholars in various atonement theories, such as the ransom theory, Christus Victor theory, recapitulation theory, satisfaction theory, penal substitution theory and moral influence theory.
Variant views on salvation (soteriology) are among the main fault lines dividing the various Christian denominations, including conflicting definitions of sin and depravity (the sinful nature of mankind), justification (God's means of removing the consequences of sin), and atonement (the forgiving or pardoning of sin through the suffering, death and resurrection of Jesus).
### Answer: Salvation in christianity is the redemption of human beings from the consequences of their sins through the death and resurrection of Jesus Christ. Jesus's death is counted as the payment for the sin of all mankind, as recorded by Paul in his letters. This salvation is open to everyone, not just the jews. Anyone who believes that Jesus died for their sins and rose again receives the salvation that God has to offer.</s> |
which are the must visit places in India? | Tourism in India is important for the country's economy and is growing rapidly. The World Travel and Tourism Council calculated that tourism generated ₹13.2 lakh crore (US$170 billion) or 5.8% of India's GDP and supported 32.1 million jobs in 2021. Even though, these numbers were lower than the pre-pandemic figures; the country's economy witnessed a significant growth in 2021 after the massive downturn during 2020. The sector is predicted to grow at an annual rate of 7.8% to ₹33.8 lakh crore (US$420 billion) by 2031 (7.2% of GDP). In October 2015, India's medical tourism sector was estimated to be worth US$3 billion, and it is projected to grow to US$7–8 billion by 2020. In 2014, 184,298 foreign patients travelled to India to seek medical treatment.
Over 17.9 million foreign tourists arrived in India in 2019 compared to 17.4 million in 2018, representing a growth of 3.5%. This makes India the 22nd most visited nation in the world and 8th in Asia and Pacific . Domestic tourist visits to all states and union territories numbered 1,036.35 million in 2012, an increase of 16.5% from 2011. In 2012, National Geographic's Traveller magazine named the state Kerala as one of the "ten paradises of the world" and "50 must see destinations of a lifetime". In 2014, Tamil Nadu, Maharashtra and Uttar Pradesh were the most popular states for tourists. Delhi, Mumbai, Chennai, Agra and Jaipur were the five most visited cities of India by foreign tourists during the year 2015. As of 2017, worldwide, Delhi is ranked 28th by the number of foreign tourist arrivals, while Mumbai is ranked 30th, Chennai 43rd, Agra 45th, Jaipur 52nd and Kolkata 90th.
The World Economic Forum's Travel and Tourism Development Index 2021, which replaced its previous Travel and Tourism Competitiveness Report, ranks India 54th out of 117 countries overall. The last edition of the Travel and Tourism Competitiveness Report, published in 2019, had ranked India 34th out of 140 countries overall. The report ranked the price competitiveness of India's tourism sector 13th out of 140 countries. It mentioned that India has quite good air transport infrastructure (ranked 33rd), particularly given the country's stage of development, and reasonable ground and port infrastructure (ranked 28th). The country also scored high on natural resources (ranked 14th), and cultural resources and business travel (ranked 8th). The World Tourism Organization reported that India's receipts from tourism during 2012 ranked 16th in the world, and 7th among Asian and Pacific countries.
The Ministry of Tourism designs national policies for the development and promotion of tourism. In the process, the Ministry consults and collaborates with other stakeholders in the sector including various central ministries/agencies, state governments, union territories and private sector representatives. Concerted efforts are being made to promote niche tourism products such as rural, cruise, medical and eco-tourism. The Ministry of Tourism maintains the Incredible India campaign focused on promoting tourism in India. | In 2012, National Geographic's Traveller magazine named the state Kerala as one of the "ten paradises of the world" and "50 must see destinations of a lifetime". In 2014, Tamil Nadu, Maharashtra and Uttar Pradesh were the most popular states for tourists. Delhi, Mumbai, Chennai, Agra and Jaipur were the five most visited cities of India by foreign tourists during the year 2015. As of 2017, worldwide, Delhi is ranked 28th by the number of foreign tourist arrivals, while Mumbai is ranked 30th, Chennai 43rd, Agra 45th, Jaipur 52nd and Kolkata 90th. | summarization | ### Instruction: which are the must visit places in India?
### Context: Tourism in India is important for the country's economy and is growing rapidly. The World Travel and Tourism Council calculated that tourism generated ₹13.2 lakh crore (US$170 billion) or 5.8% of India's GDP and supported 32.1 million jobs in 2021. Even though, these numbers were lower than the pre-pandemic figures; the country's economy witnessed a significant growth in 2021 after the massive downturn during 2020. The sector is predicted to grow at an annual rate of 7.8% to ₹33.8 lakh crore (US$420 billion) by 2031 (7.2% of GDP). In October 2015, India's medical tourism sector was estimated to be worth US$3 billion, and it is projected to grow to US$7–8 billion by 2020. In 2014, 184,298 foreign patients travelled to India to seek medical treatment.
Over 17.9 million foreign tourists arrived in India in 2019 compared to 17.4 million in 2018, representing a growth of 3.5%. This makes India the 22nd most visited nation in the world and 8th in Asia and Pacific . Domestic tourist visits to all states and union territories numbered 1,036.35 million in 2012, an increase of 16.5% from 2011. In 2012, National Geographic's Traveller magazine named the state Kerala as one of the "ten paradises of the world" and "50 must see destinations of a lifetime". In 2014, Tamil Nadu, Maharashtra and Uttar Pradesh were the most popular states for tourists. Delhi, Mumbai, Chennai, Agra and Jaipur were the five most visited cities of India by foreign tourists during the year 2015. As of 2017, worldwide, Delhi is ranked 28th by the number of foreign tourist arrivals, while Mumbai is ranked 30th, Chennai 43rd, Agra 45th, Jaipur 52nd and Kolkata 90th.
The World Economic Forum's Travel and Tourism Development Index 2021, which replaced its previous Travel and Tourism Competitiveness Report, ranks India 54th out of 117 countries overall. The last edition of the Travel and Tourism Competitiveness Report, published in 2019, had ranked India 34th out of 140 countries overall. The report ranked the price competitiveness of India's tourism sector 13th out of 140 countries. It mentioned that India has quite good air transport infrastructure (ranked 33rd), particularly given the country's stage of development, and reasonable ground and port infrastructure (ranked 28th). The country also scored high on natural resources (ranked 14th), and cultural resources and business travel (ranked 8th). The World Tourism Organization reported that India's receipts from tourism during 2012 ranked 16th in the world, and 7th among Asian and Pacific countries.
The Ministry of Tourism designs national policies for the development and promotion of tourism. In the process, the Ministry consults and collaborates with other stakeholders in the sector including various central ministries/agencies, state governments, union territories and private sector representatives. Concerted efforts are being made to promote niche tourism products such as rural, cruise, medical and eco-tourism. The Ministry of Tourism maintains the Incredible India campaign focused on promoting tourism in India.
### Answer: In 2012, National Geographic's Traveller magazine named the state Kerala as one of the "ten paradises of the world" and "50 must see destinations of a lifetime". In 2014, Tamil Nadu, Maharashtra and Uttar Pradesh were the most popular states for tourists. Delhi, Mumbai, Chennai, Agra and Jaipur were the five most visited cities of India by foreign tourists during the year 2015. As of 2017, worldwide, Delhi is ranked 28th by the number of foreign tourist arrivals, while Mumbai is ranked 30th, Chennai 43rd, Agra 45th, Jaipur 52nd and Kolkata 90th.</s> |
Tell me about the 2017 Southeastern Conference football season | The 2017 Southeastern Conference football season was the 85th season of SEC football and took place during the 2017 NCAA Division I FBS football season. The season began on August 31 and will end with the 2017 SEC Championship Game on December 2. The SEC is a Power Five conference under the College Football Playoff format along with the Atlantic Coast Conference, the Big 12 Conference, the Big Ten Conference, and the Pac–12 Conference. For the 2017 season, the SEC has 14 teams divided into two divisions of seven each, named East and West. | The 2017 Southeastern Conference football season was the 85th season of SEC football and took place during the 2017 NCAA Division I FBS football season. The season began on August 31 and will end with the 2017 SEC Championship Game on December 2. | summarization | ### Instruction: Tell me about the 2017 Southeastern Conference football season
### Context: The 2017 Southeastern Conference football season was the 85th season of SEC football and took place during the 2017 NCAA Division I FBS football season. The season began on August 31 and will end with the 2017 SEC Championship Game on December 2. The SEC is a Power Five conference under the College Football Playoff format along with the Atlantic Coast Conference, the Big 12 Conference, the Big Ten Conference, and the Pac–12 Conference. For the 2017 season, the SEC has 14 teams divided into two divisions of seven each, named East and West.
### Answer: The 2017 Southeastern Conference football season was the 85th season of SEC football and took place during the 2017 NCAA Division I FBS football season. The season began on August 31 and will end with the 2017 SEC Championship Game on December 2.</s> |
Based on this paragraph, what are the main applications of DNA Sequencing? | DNA sequencing may be used to determine the sequence of individual genes, larger genetic regions (i.e. clusters of genes or operons), full chromosomes, or entire genomes of any organism. DNA sequencing is also the most efficient way to indirectly sequence RNA or proteins (via their open reading frames). In fact, DNA sequencing has become a key technology in many areas of biology and other sciences such as medicine, forensics, and anthropology. | DNA sequencing, can be used in many areas of healthcare and life sciences. For example, it can be used to identify the entire genome of an organism, or be used in areas such as medicine, forensics and anthropology. | summarization | ### Instruction: Based on this paragraph, what are the main applications of DNA Sequencing?
### Context: DNA sequencing may be used to determine the sequence of individual genes, larger genetic regions (i.e. clusters of genes or operons), full chromosomes, or entire genomes of any organism. DNA sequencing is also the most efficient way to indirectly sequence RNA or proteins (via their open reading frames). In fact, DNA sequencing has become a key technology in many areas of biology and other sciences such as medicine, forensics, and anthropology.
### Answer: DNA sequencing, can be used in many areas of healthcare and life sciences. For example, it can be used to identify the entire genome of an organism, or be used in areas such as medicine, forensics and anthropology.</s> |
Is Singapore a good place to develop wealth? | Economy
Main article: Economy of Singapore
Singapore Airlines celebrated the nation's Golden Jubilee with a flag livery on its Airbus A380
Singapore Airlines, the country's flag carrier, celebrated the nation's 2015 Golden Jubilee with a flag livery on its Airbus A380.
Singapore has a highly developed market economy, based historically on extended entrepôt trade. Along with Hong Kong, South Korea, and Taiwan, Singapore is one of the Four Asian Tigers, and has surpassed its peers in terms of Gross Domestic Product (GDP) per capita. Between 1965 and 1995, growth rates averaged around 6 per cent per annum, transforming the living standards of the population.
The Singaporean economy is regarded as free, innovative, dynamic and business-friendly. For several years, Singapore has been one of the few countries with an AAA credit rating from the big three, and the only Asian country to achieve this rating. Singapore attracts a large amount of foreign investment as a result of its location, skilled workforce, low tax rates, advanced infrastructure and zero-tolerance against corruption. It is the world's most competitive economy in 2019, according to the World Economic Forum's ranking of 141 countries, with the 2nd highest GDP per capita. Roughly 44 percent of the Singaporean workforce is made up of non-Singaporeans. Despite market freedom, Singapore's government operations have a significant stake in the economy, contributing 22% of the GDP. The city is a popular location for conferences and events.
The currency of Singapore is the Singapore dollar (SGD or S$), issued by the Monetary Authority of Singapore (MAS). It has been interchangeable with the Brunei dollar at par value since 1967. MAS manages its monetary policy by allowing the Singapore dollar exchange rate to rise or fall within an undisclosed trading band. This is different from most central banks, which use interest rates to manage policy. Singapore has the world's eleventh largest foreign reserves, and one of the highest net international investment position per capita.
Singapore has been identified as a tax haven for the wealthy due to its low tax rates on personal income and tax exemptions on foreign-based income and capital gains. Individuals such as Australian millionaire retailer Brett Blundy and multi-billionaire Facebook co-founder Eduardo Saverin are two examples of wealthy individuals who have settled in Singapore. In 2009, Singapore was removed from the Organisation for Economic Co-operation and Development (OECD) "liste grise" of tax havens, and ranked fourth on the Tax Justice Network's 2015 Financial Secrecy Index of the world's off-shore financial service providers, banking one-eighth of the world's offshore capital, while "providing numerous tax avoidance and evasion opportunities". In August 2016, The Straits Times reported that Indonesia had decided to create tax havens on two islands near Singapore to bring Indonesian capital back into the tax base. In October 2016, the Monetary Authority of Singapore admonished and fined UBS and DBS and withdrew Falcon Private Bank's banking licence for their alleged role in the Malaysian Sovereign Fund scandal.
Panoramic view of the Central Business District
Singapore has the world's highest percentage of millionaires, with one out of every six households having at least one million US dollars in disposable wealth. This excludes property, businesses, and luxury goods, which if included would increase the number of millionaires, especially as property in Singapore is among the world's most expensive. In 2016, Singapore was rated the world's most expensive city for the third consecutive year by the Economist Intelligence Unit, and this remained true in 2018. The government provides numerous assistance programmes to the homeless and needy through the Ministry of Social and Family Development, so acute poverty is rare. Some of the programmes include providing between S$400 and S$1000 of financial assistance per month to needy households, providing free medical care at government hospitals, and paying for children's tuition. Other benefits include compensation for gym fees to encourage citizens to exercise, up to S$166,000 as a baby bonus for each citizen, heavily subsidised healthcare, financial aid for the disabled, the provision of reduced-cost laptops for poor students, rebates for costs such as public transport and utility bills, and more. As of 2018 Singapore's ranking in the Human Development Index is 9th in the world, with an HDI value of 0.935. | Singapore economy is regarded as free, innovative, dynamic and business-friendly. Singapore has the world's highest percentage of millionaires, with one out of every six households having at least one million US dollars in disposable wealth. | summarization | ### Instruction: Is Singapore a good place to develop wealth?
### Context: Economy
Main article: Economy of Singapore
Singapore Airlines celebrated the nation's Golden Jubilee with a flag livery on its Airbus A380
Singapore Airlines, the country's flag carrier, celebrated the nation's 2015 Golden Jubilee with a flag livery on its Airbus A380.
Singapore has a highly developed market economy, based historically on extended entrepôt trade. Along with Hong Kong, South Korea, and Taiwan, Singapore is one of the Four Asian Tigers, and has surpassed its peers in terms of Gross Domestic Product (GDP) per capita. Between 1965 and 1995, growth rates averaged around 6 per cent per annum, transforming the living standards of the population.
The Singaporean economy is regarded as free, innovative, dynamic and business-friendly. For several years, Singapore has been one of the few countries with an AAA credit rating from the big three, and the only Asian country to achieve this rating. Singapore attracts a large amount of foreign investment as a result of its location, skilled workforce, low tax rates, advanced infrastructure and zero-tolerance against corruption. It is the world's most competitive economy in 2019, according to the World Economic Forum's ranking of 141 countries, with the 2nd highest GDP per capita. Roughly 44 percent of the Singaporean workforce is made up of non-Singaporeans. Despite market freedom, Singapore's government operations have a significant stake in the economy, contributing 22% of the GDP. The city is a popular location for conferences and events.
The currency of Singapore is the Singapore dollar (SGD or S$), issued by the Monetary Authority of Singapore (MAS). It has been interchangeable with the Brunei dollar at par value since 1967. MAS manages its monetary policy by allowing the Singapore dollar exchange rate to rise or fall within an undisclosed trading band. This is different from most central banks, which use interest rates to manage policy. Singapore has the world's eleventh largest foreign reserves, and one of the highest net international investment position per capita.
Singapore has been identified as a tax haven for the wealthy due to its low tax rates on personal income and tax exemptions on foreign-based income and capital gains. Individuals such as Australian millionaire retailer Brett Blundy and multi-billionaire Facebook co-founder Eduardo Saverin are two examples of wealthy individuals who have settled in Singapore. In 2009, Singapore was removed from the Organisation for Economic Co-operation and Development (OECD) "liste grise" of tax havens, and ranked fourth on the Tax Justice Network's 2015 Financial Secrecy Index of the world's off-shore financial service providers, banking one-eighth of the world's offshore capital, while "providing numerous tax avoidance and evasion opportunities". In August 2016, The Straits Times reported that Indonesia had decided to create tax havens on two islands near Singapore to bring Indonesian capital back into the tax base. In October 2016, the Monetary Authority of Singapore admonished and fined UBS and DBS and withdrew Falcon Private Bank's banking licence for their alleged role in the Malaysian Sovereign Fund scandal.
Panoramic view of the Central Business District
Singapore has the world's highest percentage of millionaires, with one out of every six households having at least one million US dollars in disposable wealth. This excludes property, businesses, and luxury goods, which if included would increase the number of millionaires, especially as property in Singapore is among the world's most expensive. In 2016, Singapore was rated the world's most expensive city for the third consecutive year by the Economist Intelligence Unit, and this remained true in 2018. The government provides numerous assistance programmes to the homeless and needy through the Ministry of Social and Family Development, so acute poverty is rare. Some of the programmes include providing between S$400 and S$1000 of financial assistance per month to needy households, providing free medical care at government hospitals, and paying for children's tuition. Other benefits include compensation for gym fees to encourage citizens to exercise, up to S$166,000 as a baby bonus for each citizen, heavily subsidised healthcare, financial aid for the disabled, the provision of reduced-cost laptops for poor students, rebates for costs such as public transport and utility bills, and more. As of 2018 Singapore's ranking in the Human Development Index is 9th in the world, with an HDI value of 0.935.
### Answer: Singapore economy is regarded as free, innovative, dynamic and business-friendly. Singapore has the world's highest percentage of millionaires, with one out of every six households having at least one million US dollars in disposable wealth.</s> |
What is Barbacoa? | Barbacoa is a form of cooking meat that originated in the Caribbean with the Taíno people, who called it by the Arawak word barbaca, from which the term "barbacoa" derives, and ultimately, the word 'barbecue". In contemporary Mexico, it generally refers to meats or whole sheep or whole goats slow-cooked over an open fire or, more traditionally, in a hole dug in the ground covered with agave (maguey) leaves, although the interpretation is loose, and in the present day (and in some cases) may refer to meat steamed until tender. This meat is known for its high fat content and strong flavor, often accompanied with onions and cilantro (coriander leaf). | Barbacoa is a style of slow-cooking meat from the Caribbean area. In Mexico, it's generally used on sheep or goats that are buried in the ground and covered with leaves after roasting. Typical seasonings included onions and cilantro. | summarization | ### Instruction: What is Barbacoa?
### Context: Barbacoa is a form of cooking meat that originated in the Caribbean with the Taíno people, who called it by the Arawak word barbaca, from which the term "barbacoa" derives, and ultimately, the word 'barbecue". In contemporary Mexico, it generally refers to meats or whole sheep or whole goats slow-cooked over an open fire or, more traditionally, in a hole dug in the ground covered with agave (maguey) leaves, although the interpretation is loose, and in the present day (and in some cases) may refer to meat steamed until tender. This meat is known for its high fat content and strong flavor, often accompanied with onions and cilantro (coriander leaf).
### Answer: Barbacoa is a style of slow-cooking meat from the Caribbean area. In Mexico, it's generally used on sheep or goats that are buried in the ground and covered with leaves after roasting. Typical seasonings included onions and cilantro.</s> |
What is the main benefit of the fianchetto in chess openings? | In chess, the fianchetto (English: /ˌfiənˈkɛtoʊ/ or /ˌfiənˈtʃɛtoʊ/; Italian: [fjaŋˈketto] "little flank") is a pattern of development wherein a bishop is developed to the second rank of the adjacent b- or g-file, the knight pawn having been moved one or two squares forward.
The fianchetto is a staple of many "hypermodern" openings, whose philosophy is to delay direct occupation of the centre with the plan of undermining and destroying the opponent's occupied centre. It also regularly occurs in Indian defences. The fianchetto is less common in Open Games (1.e4 e5), but the king bishop is sometimes fianchettoed by Black in the Ruy Lopez or by White in an uncommon variation of the Vienna Game.
One of the major benefits of the fianchetto is that it often allows the fianchettoed bishop to become more active. A fianchettoed position, however, also presents some opportunities for the opponent: if the fianchettoed bishop can be exchanged, the squares the bishop was formerly protecting will become weak (see hole) and can form the basis of an attack (particularly if the fianchetto was performed on the kingside). Exchanging the fianchettoed bishop should not be done lightly, therefore, especially if the enemy bishop on same-coloured squares is still on the board. | The fianchetto follows the "hypermodern" opening philosophy. It lets a bishop become more active from the flanks, attacking the center of the board without directly occupying it. | summarization | ### Instruction: What is the main benefit of the fianchetto in chess openings?
### Context: In chess, the fianchetto (English: /ˌfiənˈkɛtoʊ/ or /ˌfiənˈtʃɛtoʊ/; Italian: [fjaŋˈketto] "little flank") is a pattern of development wherein a bishop is developed to the second rank of the adjacent b- or g-file, the knight pawn having been moved one or two squares forward.
The fianchetto is a staple of many "hypermodern" openings, whose philosophy is to delay direct occupation of the centre with the plan of undermining and destroying the opponent's occupied centre. It also regularly occurs in Indian defences. The fianchetto is less common in Open Games (1.e4 e5), but the king bishop is sometimes fianchettoed by Black in the Ruy Lopez or by White in an uncommon variation of the Vienna Game.
One of the major benefits of the fianchetto is that it often allows the fianchettoed bishop to become more active. A fianchettoed position, however, also presents some opportunities for the opponent: if the fianchettoed bishop can be exchanged, the squares the bishop was formerly protecting will become weak (see hole) and can form the basis of an attack (particularly if the fianchetto was performed on the kingside). Exchanging the fianchettoed bishop should not be done lightly, therefore, especially if the enemy bishop on same-coloured squares is still on the board.
### Answer: The fianchetto follows the "hypermodern" opening philosophy. It lets a bishop become more active from the flanks, attacking the center of the board without directly occupying it.</s> |
When was Anfield football stadium built? | Anfield is a football stadium in Anfield, Liverpool, Merseyside, England, which has a seating capacity of 53,394, making it the seventh largest football stadium in England. It has been the home of Liverpool F.C. since their formation in 1892. It was originally the home of Everton from 1884 to 1891, before they moved to Goodison Park after a dispute with the club president.
The stadium has four stands: the Spion Kop, the Main Stand, the Sir Kenny Dalglish Stand and the Anfield Road End. The record attendance of 61,905 was set at a match between Liverpool and Wolverhampton Wanderers in 1952. The ground converted to an all-seater stadium in 1994 as a result of the Taylor Report, which reduced its capacity.
Two gates at the stadium are named after former Liverpool managers: Bill Shankly and Bob Paisley. Both managers have been honoured with statues outside the stadium: Shankly's unveiled in 1997 by the Kop Stand and Paisley's in 2020 by the Main Stand. The ground is 2 miles (3 km) from Liverpool Lime Street railway station. It was proposed in 2002 to replace the stadium with a new one in the adjacent Stanley Park, but after the acquisition of Liverpool F.C. by Fenway Sports Group in 2010 it was made clear this would not happen.
Construction for an extension to the main stand began on 8 December 2014. This extension, one of the largest all-seater single stands in European football, opened to the public on 9 September 2016, increasing the stadium capacity to 53,394. The Anfield Road Stand is currently being redeveloped to bring the stadium capacity to around 61,000. It is due to be completed in time for the 2023–24 season. | Anfield was built in 1884 and first occupied by and has been redeveloped many times over the years. The most recent redevelopment was in 2022 on The Anfield Road Stand which brought the total capacity of the stadium to around 61,000. | summarization | ### Instruction: When was Anfield football stadium built?
### Context: Anfield is a football stadium in Anfield, Liverpool, Merseyside, England, which has a seating capacity of 53,394, making it the seventh largest football stadium in England. It has been the home of Liverpool F.C. since their formation in 1892. It was originally the home of Everton from 1884 to 1891, before they moved to Goodison Park after a dispute with the club president.
The stadium has four stands: the Spion Kop, the Main Stand, the Sir Kenny Dalglish Stand and the Anfield Road End. The record attendance of 61,905 was set at a match between Liverpool and Wolverhampton Wanderers in 1952. The ground converted to an all-seater stadium in 1994 as a result of the Taylor Report, which reduced its capacity.
Two gates at the stadium are named after former Liverpool managers: Bill Shankly and Bob Paisley. Both managers have been honoured with statues outside the stadium: Shankly's unveiled in 1997 by the Kop Stand and Paisley's in 2020 by the Main Stand. The ground is 2 miles (3 km) from Liverpool Lime Street railway station. It was proposed in 2002 to replace the stadium with a new one in the adjacent Stanley Park, but after the acquisition of Liverpool F.C. by Fenway Sports Group in 2010 it was made clear this would not happen.
Construction for an extension to the main stand began on 8 December 2014. This extension, one of the largest all-seater single stands in European football, opened to the public on 9 September 2016, increasing the stadium capacity to 53,394. The Anfield Road Stand is currently being redeveloped to bring the stadium capacity to around 61,000. It is due to be completed in time for the 2023–24 season.
### Answer: Anfield was built in 1884 and first occupied by and has been redeveloped many times over the years. The most recent redevelopment was in 2022 on The Anfield Road Stand which brought the total capacity of the stadium to around 61,000.</s> |
Why did TSMC choose Arizona for its chip manufacturing | On the face of it, Arizona, a state known for its Grand Canyon and barren deserts, might seem an odd choice for an industry that demands huge amounts of water. But water, it turns out, is one of the least concerns. Semiconductor manufacturing needs a big ecosystem to get the best cost position. Semiconductor manufacturing need to have not just one company or one fab, but a big cluster of 10 to 15 of these things, to be able to get that world class performance and to be able to build a big enough ecosystem around you.This includes everything from equipment suppliers, which are needed to update and perform maintenance on chipmaking machines, to companies providing chemicals and other materials needed in making chips.Arizona has such a complete semiconductor supply chain already is thanks in no small part to Intel. Back in 1980, Intel started manufacturing microcontroller chips at its facility in Chandler, Arizona which is now Intel's largest manufacturing site in the world. In addition to Intel, leading semiconductor makers including NXP, ON Semiconductor, Qualcomm, Microchip, Broadcom and Benchmark Electronics have also built facilities in the state. Apart from its cluster of semiconductor companies, geopolitics have also worked in Arizona's favor. Arizona was also a more politically savvy state for fresh investment than strongly Democratic Washington. Arizona Gov. Doug Ducey, a Republican, was a close ally of Trump throughout both of his presidential campaigns | TSMC chose Arizona for its chip making facility because Arizona already has an ecosystem of equipment suppliers, fabrication units. Having an ecosystem makes it cost effective. Also Arizona is home to other chip companies like Intel, NXP, ON semiconductor, Qualcomm, Microchip, Broadcom and Benchmark Electronics. Also geopolitics then worked in favor of Arizona state. Arizona is a Republican state then and under Trump presidency would have given more incentives for the chip makers establishment. | summarization | ### Instruction: Why did TSMC choose Arizona for its chip manufacturing
### Context: On the face of it, Arizona, a state known for its Grand Canyon and barren deserts, might seem an odd choice for an industry that demands huge amounts of water. But water, it turns out, is one of the least concerns. Semiconductor manufacturing needs a big ecosystem to get the best cost position. Semiconductor manufacturing need to have not just one company or one fab, but a big cluster of 10 to 15 of these things, to be able to get that world class performance and to be able to build a big enough ecosystem around you.This includes everything from equipment suppliers, which are needed to update and perform maintenance on chipmaking machines, to companies providing chemicals and other materials needed in making chips.Arizona has such a complete semiconductor supply chain already is thanks in no small part to Intel. Back in 1980, Intel started manufacturing microcontroller chips at its facility in Chandler, Arizona which is now Intel's largest manufacturing site in the world. In addition to Intel, leading semiconductor makers including NXP, ON Semiconductor, Qualcomm, Microchip, Broadcom and Benchmark Electronics have also built facilities in the state. Apart from its cluster of semiconductor companies, geopolitics have also worked in Arizona's favor. Arizona was also a more politically savvy state for fresh investment than strongly Democratic Washington. Arizona Gov. Doug Ducey, a Republican, was a close ally of Trump throughout both of his presidential campaigns
### Answer: TSMC chose Arizona for its chip making facility because Arizona already has an ecosystem of equipment suppliers, fabrication units. Having an ecosystem makes it cost effective. Also Arizona is home to other chip companies like Intel, NXP, ON semiconductor, Qualcomm, Microchip, Broadcom and Benchmark Electronics. Also geopolitics then worked in favor of Arizona state. Arizona is a Republican state then and under Trump presidency would have given more incentives for the chip makers establishment.</s> |
Give me a brief summary of the spanish civil war | The Spanish Civil War broke out in 1936: on 17 and 18 July, part of the military carried out a coup d'état that triumphed in only part of the country. The situation led to a civil war, in which the territory was divided into two zones: one under the authority of the Republican government, that counted on outside support from the Soviet Union and Mexico (and from International Brigades), and the other controlled by the putschists (the Nationalist or rebel faction), most critically supported by Nazi Germany and Fascist Italy. The Republic was not supported by the Western powers due to the British-led policy of non-intervention. General Francisco Franco was sworn in as the supreme leader of the rebels on 1 October 1936. An uneasy relationship between the Republican government and the grassroots anarchists who had initiated a partial Social revolution also ensued.
Republican volunteers at Teruel, 1936
The civil war was viciously fought and there were many atrocities committed by all sides. The war claimed the lives of over 500,000 people and caused the flight of up to a half-million citizens from the country. On 1 April 1939, five months before the beginning of World War II, the rebel side led by Franco emerged victorious, imposing a dictatorship over the whole country. Thousands of men and women were imprisoned after the civil war in Francoist concentration camps, with approximately 367,000 to 500,000 prisoners being held in 50 camps or prisons. | The Spanish Civil War started on the 17th and 18th of July 1936 due to a coup d'etat by the military that divided the country into two zones, one side led by the republican government, the other controlled by the putschists (nationalists). The war claimed 500,000 lives and caused a mass exodus of up to 500,000 more. It ended on the 1st of April 1939 with the nationalists taking control of the country, imposing a dictatorship led by General Franco. | summarization | ### Instruction: Give me a brief summary of the spanish civil war
### Context: The Spanish Civil War broke out in 1936: on 17 and 18 July, part of the military carried out a coup d'état that triumphed in only part of the country. The situation led to a civil war, in which the territory was divided into two zones: one under the authority of the Republican government, that counted on outside support from the Soviet Union and Mexico (and from International Brigades), and the other controlled by the putschists (the Nationalist or rebel faction), most critically supported by Nazi Germany and Fascist Italy. The Republic was not supported by the Western powers due to the British-led policy of non-intervention. General Francisco Franco was sworn in as the supreme leader of the rebels on 1 October 1936. An uneasy relationship between the Republican government and the grassroots anarchists who had initiated a partial Social revolution also ensued.
Republican volunteers at Teruel, 1936
The civil war was viciously fought and there were many atrocities committed by all sides. The war claimed the lives of over 500,000 people and caused the flight of up to a half-million citizens from the country. On 1 April 1939, five months before the beginning of World War II, the rebel side led by Franco emerged victorious, imposing a dictatorship over the whole country. Thousands of men and women were imprisoned after the civil war in Francoist concentration camps, with approximately 367,000 to 500,000 prisoners being held in 50 camps or prisons.
### Answer: The Spanish Civil War started on the 17th and 18th of July 1936 due to a coup d'etat by the military that divided the country into two zones, one side led by the republican government, the other controlled by the putschists (nationalists). The war claimed 500,000 lives and caused a mass exodus of up to 500,000 more. It ended on the 1st of April 1939 with the nationalists taking control of the country, imposing a dictatorship led by General Franco.</s> |
What is the main prerequisite for an AI to surpass human-level intelligence? | If a superhuman intelligence were to be invented—either through the amplification of human intelligence or through artificial intelligence—it would vastly improve over human problem-solving and inventive skills. Such an AI is referred to as Seed AI because if an AI were created with engineering capabilities that matched or surpassed those of its human creators, it would have the potential to autonomously improve its own software and hardware to design an even more capable machine, which could repeat the process in turn. This recursive self-improvement could accelerate, potentially allowing enormous qualitative change before any upper limits imposed by the laws of physics or theoretical computation set in. It is speculated that over many iterations, such an AI would far surpass human cognitive abilities. | An AI system needs to have the capability of recursive self-improvement. Once available such a capability would allow the AI system to accelerate its development at a rapid rate. | summarization | ### Instruction: What is the main prerequisite for an AI to surpass human-level intelligence?
### Context: If a superhuman intelligence were to be invented—either through the amplification of human intelligence or through artificial intelligence—it would vastly improve over human problem-solving and inventive skills. Such an AI is referred to as Seed AI because if an AI were created with engineering capabilities that matched or surpassed those of its human creators, it would have the potential to autonomously improve its own software and hardware to design an even more capable machine, which could repeat the process in turn. This recursive self-improvement could accelerate, potentially allowing enormous qualitative change before any upper limits imposed by the laws of physics or theoretical computation set in. It is speculated that over many iterations, such an AI would far surpass human cognitive abilities.
### Answer: An AI system needs to have the capability of recursive self-improvement. Once available such a capability would allow the AI system to accelerate its development at a rapid rate.</s> |
Please give me a bulleted list of the different types of horses cited in the text as well as their maximum height in centimeters (separated by a comma) | The size of horses varies by breed, but also is influenced by nutrition. Light-riding horses usually range in height from 14 to 16 hands (56 to 64 inches, 142 to 163 cm) and can weigh from 380 to 550 kilograms (840 to 1,210 lb). Larger-riding horses usually start at about 15.2 hands (62 inches, 157 cm) and often are as tall as 17 hands (68 inches, 173 cm), weighing from 500 to 600 kilograms (1,100 to 1,320 lb). Heavy or draft horses are usually at least 16 hands (64 inches, 163 cm) high and can be as tall as 18 hands (72 inches, 183 cm) high. They can weigh from about 700 to 1,000 kilograms (1,540 to 2,200 lb). | - Light-riding horses, 163 cm
- Larger-riding horses, 173 cm
- Heavy or draft horses, 183 cm | summarization | ### Instruction: Please give me a bulleted list of the different types of horses cited in the text as well as their maximum height in centimeters (separated by a comma)
### Context: The size of horses varies by breed, but also is influenced by nutrition. Light-riding horses usually range in height from 14 to 16 hands (56 to 64 inches, 142 to 163 cm) and can weigh from 380 to 550 kilograms (840 to 1,210 lb). Larger-riding horses usually start at about 15.2 hands (62 inches, 157 cm) and often are as tall as 17 hands (68 inches, 173 cm), weighing from 500 to 600 kilograms (1,100 to 1,320 lb). Heavy or draft horses are usually at least 16 hands (64 inches, 163 cm) high and can be as tall as 18 hands (72 inches, 183 cm) high. They can weigh from about 700 to 1,000 kilograms (1,540 to 2,200 lb).
### Answer: - Light-riding horses, 163 cm
- Larger-riding horses, 173 cm
- Heavy or draft horses, 183 cm</s> |
Using examples taken from the paragraph, provide the major risks to humans with climate change in a short bulleted list | The effects of climate change are impacting humans everywhere in the world. Impacts can now be observed on all continents and ocean regions, with low-latitude, less developed areas facing the greatest risk. Continued warming has potentially “severe, pervasive and irreversible impacts” for people and ecosystems. The risks are unevenly distributed, but are generally greater for disadvantaged people in developing and developed countries.
The WHO has classified climate change as the greatest threat to global health in the 21st century. Extreme weather leads to injury and loss of life, and crop failures to undernutrition. Various infectious diseases are more easily transmitted in a warmer climate, such as dengue fever and malaria. Young children are the most vulnerable to food shortages. Both children and older people are vulnerable to extreme heat. The World Health Organization (WHO) has estimated that between 2030 and 2050, climate change would cause around 250,000 additional deaths per year. They assessed deaths from heat exposure in elderly people, increases in diarrhea, malaria, dengue, coastal flooding, and childhood undernutrition. Over 500,000 more adult deaths are projected yearly by 2050 due to reductions in food availability and quality. By 2100, 50% to 75% of the global population may face climate conditions that are life-threatening due to combined effects of extreme heat and humidity.
Climate change is affecting food security. It has caused reduction in global yields of maize, wheat, and soybeans between 1981 and 2010. Future warming could further reduce global yields of major crops. Crop production will probably be negatively affected in low-latitude countries, while effects at northern latitudes may be positive or negative. Up to an additional 183 million people worldwide, particularly those with lower incomes, are at risk of hunger as a consequence of these impacts. Climate change also impacts fish populations. Globally, less will be available to be fished. Regions dependent on glacier water, regions that are already dry, and small islands have a higher risk of water stress due to climate change.
Economic damages due to climate change may be severe and there is a chance of disastrous consequences. Climate change has likely already increased global economic inequality, and this trend is projected to continue. Most of the severe impacts are expected in sub-Saharan Africa, where most of the local inhabitants are dependent upon natural and agricultural resources and South-East Asia. The World Bank estimates that climate change could drive over 120 million people into poverty by 2030.
Current inequalities based on wealth and social status have worsened due to climate change. Major difficulties in mitigating, adapting, and recovering to climate shocks are faced by marginalized people who have less control over resources. Indigenous people, who are subsistent on their land and ecosystems, will face endangerment to their wellness and lifestyles due to climate change. An expert elicitation concluded that the role of climate change in armed conflict has been small compared to factors such as socio-economic inequality and state capabilities.
Low-lying islands and coastal communities are threatened by sea level rise, which makes flooding more common. Sometimes, land is permanently lost to the sea. This could lead to statelessness for people in island nations, such as the Maldives and Tuvalu. In some regions, the rise in temperature and humidity may be too severe for humans to adapt to. With worst-case climate change, models project that almost one-third of humanity might live in extremely hot and uninhabitable climates, similar to the current climate found in the Sahara. These factors can drive environmental migration, both within and between countries. More people are expected to be displaced because of sea level rise, extreme weather and conflict from increased competition over natural resources. Climate change may also increase vulnerability, leading to "trapped populations" who are not able to move due to a lack of resources. | - Major threat to global health due to extreme weather, crop shortages, and increases in infectious diseases (more easily transmitted in warmer weather)
- Effects to food security due to crop yield reduction and impacts to fish population
- Economic damages from adverse weather events and dislocations on natural and agricultural resources
- Increases in wealth and socioeconomic inequalities as climate change impacts marginalized populations who depend on land and associated ecosystems | summarization | ### Instruction: Using examples taken from the paragraph, provide the major risks to humans with climate change in a short bulleted list
### Context: The effects of climate change are impacting humans everywhere in the world. Impacts can now be observed on all continents and ocean regions, with low-latitude, less developed areas facing the greatest risk. Continued warming has potentially “severe, pervasive and irreversible impacts” for people and ecosystems. The risks are unevenly distributed, but are generally greater for disadvantaged people in developing and developed countries.
The WHO has classified climate change as the greatest threat to global health in the 21st century. Extreme weather leads to injury and loss of life, and crop failures to undernutrition. Various infectious diseases are more easily transmitted in a warmer climate, such as dengue fever and malaria. Young children are the most vulnerable to food shortages. Both children and older people are vulnerable to extreme heat. The World Health Organization (WHO) has estimated that between 2030 and 2050, climate change would cause around 250,000 additional deaths per year. They assessed deaths from heat exposure in elderly people, increases in diarrhea, malaria, dengue, coastal flooding, and childhood undernutrition. Over 500,000 more adult deaths are projected yearly by 2050 due to reductions in food availability and quality. By 2100, 50% to 75% of the global population may face climate conditions that are life-threatening due to combined effects of extreme heat and humidity.
Climate change is affecting food security. It has caused reduction in global yields of maize, wheat, and soybeans between 1981 and 2010. Future warming could further reduce global yields of major crops. Crop production will probably be negatively affected in low-latitude countries, while effects at northern latitudes may be positive or negative. Up to an additional 183 million people worldwide, particularly those with lower incomes, are at risk of hunger as a consequence of these impacts. Climate change also impacts fish populations. Globally, less will be available to be fished. Regions dependent on glacier water, regions that are already dry, and small islands have a higher risk of water stress due to climate change.
Economic damages due to climate change may be severe and there is a chance of disastrous consequences. Climate change has likely already increased global economic inequality, and this trend is projected to continue. Most of the severe impacts are expected in sub-Saharan Africa, where most of the local inhabitants are dependent upon natural and agricultural resources and South-East Asia. The World Bank estimates that climate change could drive over 120 million people into poverty by 2030.
Current inequalities based on wealth and social status have worsened due to climate change. Major difficulties in mitigating, adapting, and recovering to climate shocks are faced by marginalized people who have less control over resources. Indigenous people, who are subsistent on their land and ecosystems, will face endangerment to their wellness and lifestyles due to climate change. An expert elicitation concluded that the role of climate change in armed conflict has been small compared to factors such as socio-economic inequality and state capabilities.
Low-lying islands and coastal communities are threatened by sea level rise, which makes flooding more common. Sometimes, land is permanently lost to the sea. This could lead to statelessness for people in island nations, such as the Maldives and Tuvalu. In some regions, the rise in temperature and humidity may be too severe for humans to adapt to. With worst-case climate change, models project that almost one-third of humanity might live in extremely hot and uninhabitable climates, similar to the current climate found in the Sahara. These factors can drive environmental migration, both within and between countries. More people are expected to be displaced because of sea level rise, extreme weather and conflict from increased competition over natural resources. Climate change may also increase vulnerability, leading to "trapped populations" who are not able to move due to a lack of resources.
### Answer: - Major threat to global health due to extreme weather, crop shortages, and increases in infectious diseases (more easily transmitted in warmer weather)
- Effects to food security due to crop yield reduction and impacts to fish population
- Economic damages from adverse weather events and dislocations on natural and agricultural resources
- Increases in wealth and socioeconomic inequalities as climate change impacts marginalized populations who depend on land and associated ecosystems</s> |
How good as a pianist is Yeol Eum Son | Yeol Eum Son (born May 2, 1986, in Wonju, South Korea) is a South Korean classical pianist. She first drew international attention in October 2004 at age 18 when she appeared as a soloist performing Liszt Piano Concerto No. 1 with the New York Philharmonic under the baton of Lorin Maazel on their Asia tour in Seoul, Daejeon, and Tokyo. Son again performed with Maazel and the New York Philharmonic when they returned to the Seoul Arts Center in February 2008, this time as soloist for Beethoven Piano Concerto No. 2.
Her awards include Silver Medals at both the Thirteenth Van Cliburn International Piano Competition (2009) and 2011 International Tchaikovsky Competition, where she also received the Best Chamber Concerto Performance and the Best Performance of the Commissioned Work prizes. She also won the Bronze Medal at the Arthur Rubinstein International Piano Master Competition (2005) | Yeol Eum Son (born May 2, 1986, in Wonju, South Korea) is a South Korean classical pianist. She first drew international attention in October 2004 at age 18 when she appeared as a soloist performing Liszt Piano Concerto No. 1 with the New York Philharmonic under the baton of Lorin Maazel on their Asia tour in Seoul, Daejeon, and Tokyo. Son again performed with Maazel and the New York Philharmonic when they returned to the Seoul Arts Center in February 2008, this time as soloist for Beethoven Piano Concerto No. 2.
Her awards include Silver Medals at both the Thirteenth Van Cliburn International Piano Competition (2009) and 2011 International Tchaikovsky Competition, where she also received the Best Chamber Concerto Performance and the Best Performance of the Commissioned Work prizes. She also won the Bronze Medal at the Arthur Rubinstein International Piano Master Competition (2005) | summarization | ### Instruction: How good as a pianist is Yeol Eum Son
### Context: Yeol Eum Son (born May 2, 1986, in Wonju, South Korea) is a South Korean classical pianist. She first drew international attention in October 2004 at age 18 when she appeared as a soloist performing Liszt Piano Concerto No. 1 with the New York Philharmonic under the baton of Lorin Maazel on their Asia tour in Seoul, Daejeon, and Tokyo. Son again performed with Maazel and the New York Philharmonic when they returned to the Seoul Arts Center in February 2008, this time as soloist for Beethoven Piano Concerto No. 2.
Her awards include Silver Medals at both the Thirteenth Van Cliburn International Piano Competition (2009) and 2011 International Tchaikovsky Competition, where she also received the Best Chamber Concerto Performance and the Best Performance of the Commissioned Work prizes. She also won the Bronze Medal at the Arthur Rubinstein International Piano Master Competition (2005)
### Answer: Yeol Eum Son (born May 2, 1986, in Wonju, South Korea) is a South Korean classical pianist. She first drew international attention in October 2004 at age 18 when she appeared as a soloist performing Liszt Piano Concerto No. 1 with the New York Philharmonic under the baton of Lorin Maazel on their Asia tour in Seoul, Daejeon, and Tokyo. Son again performed with Maazel and the New York Philharmonic when they returned to the Seoul Arts Center in February 2008, this time as soloist for Beethoven Piano Concerto No. 2.
Her awards include Silver Medals at both the Thirteenth Van Cliburn International Piano Competition (2009) and 2011 International Tchaikovsky Competition, where she also received the Best Chamber Concerto Performance and the Best Performance of the Commissioned Work prizes. She also won the Bronze Medal at the Arthur Rubinstein International Piano Master Competition (2005)</s> |
Who was Raghib Pasha? | Isma'il ibn Ahmad ibn Hassan bani Yani (Arabic: إسماعيل بن أحمد بن حسن بني يني), known simply as Isma'il Ragheb Pasha (Arabic: إسماعيل راغب باشا) (1819–1884), was a Greek Ottoman politician who served as a Prime Minister of Egypt and held several other high-ranking government positions.
Isma'il Ragheb was of Greek ancestry and was born in Greece on 18 August 1819 on either the island of Chios following the great massacre of Candia, Crete. After being kidnapped to Anatolia he was brought to Egypt as a slave by Ibrahim Pasha in 1830 and was converted to Islam. Immediately following his arrival, he studied at al-Maktab al-Amiri and obtained his advanced degree in 1834. He was fluent in Greek and was elevated to the rank of First Lieutenant by Egypt's viceroy Muhammad Ali Pasha. In 1836, he became head of the Accounting and Revenue Agencies. He was promoted to the rank of bikbashi (Lieutenant Colonel) in 1840, then kaymakam (Colonel) in 1844, and finally amiralay (Brigadier General) in 1846.[citation needed]
He held the positions of Minister of Finance (1858–1860), then Minister of War (1860–1861).[citation needed] He became Inspector for the Maritime Provinces in 1862, and later Assistant (Arabic: باشمعاون) to viceroy Isma'il Pasha (1863–1865). He was granted the title of beylerbey and then appointed President of the Privy council in 1868. He was appointed President of the Chamber of Deputies (1866–1867), then Minister of Interior in 1867, then Minister of Agriculture and Trade in 1875.[citation needed] He again held the Finance portfolio in Muhammad Sharif Pasha's first government (1879). After the fall of Mahmoud Sami el-Baroudi's government, Isma'il Ragheb became Prime Minister of Egypt in 1882.[citation needed] Although his government was short-lived (it lasted from 17 June to 21 August only), it was the only one to present concrete programs. His achievements include the modernisation of the budget through the inventory of revenues and expenses, the Law on Salaries, and the La'eha Sa'ideyya as well as several agricultural laws.[citation needed]
Isma'il Ragheb died in 1884.[citation needed] | Raghib Pasha was a Greek Ottoman politician who served in various roles in Egypt during the mid to late 1800s, including Prime Minister of Egypt for a brief period. | summarization | ### Instruction: Who was Raghib Pasha?
### Context: Isma'il ibn Ahmad ibn Hassan bani Yani (Arabic: إسماعيل بن أحمد بن حسن بني يني), known simply as Isma'il Ragheb Pasha (Arabic: إسماعيل راغب باشا) (1819–1884), was a Greek Ottoman politician who served as a Prime Minister of Egypt and held several other high-ranking government positions.
Isma'il Ragheb was of Greek ancestry and was born in Greece on 18 August 1819 on either the island of Chios following the great massacre of Candia, Crete. After being kidnapped to Anatolia he was brought to Egypt as a slave by Ibrahim Pasha in 1830 and was converted to Islam. Immediately following his arrival, he studied at al-Maktab al-Amiri and obtained his advanced degree in 1834. He was fluent in Greek and was elevated to the rank of First Lieutenant by Egypt's viceroy Muhammad Ali Pasha. In 1836, he became head of the Accounting and Revenue Agencies. He was promoted to the rank of bikbashi (Lieutenant Colonel) in 1840, then kaymakam (Colonel) in 1844, and finally amiralay (Brigadier General) in 1846.[citation needed]
He held the positions of Minister of Finance (1858–1860), then Minister of War (1860–1861).[citation needed] He became Inspector for the Maritime Provinces in 1862, and later Assistant (Arabic: باشمعاون) to viceroy Isma'il Pasha (1863–1865). He was granted the title of beylerbey and then appointed President of the Privy council in 1868. He was appointed President of the Chamber of Deputies (1866–1867), then Minister of Interior in 1867, then Minister of Agriculture and Trade in 1875.[citation needed] He again held the Finance portfolio in Muhammad Sharif Pasha's first government (1879). After the fall of Mahmoud Sami el-Baroudi's government, Isma'il Ragheb became Prime Minister of Egypt in 1882.[citation needed] Although his government was short-lived (it lasted from 17 June to 21 August only), it was the only one to present concrete programs. His achievements include the modernisation of the budget through the inventory of revenues and expenses, the Law on Salaries, and the La'eha Sa'ideyya as well as several agricultural laws.[citation needed]
Isma'il Ragheb died in 1884.[citation needed]
### Answer: Raghib Pasha was a Greek Ottoman politician who served in various roles in Egypt during the mid to late 1800s, including Prime Minister of Egypt for a brief period.</s> |
What is the role of the coxswain? | The coxswain (or simply the cox) is the member who steers the boat using rudder strings, and coordinates the power and rhythm of the rowers, by communicating to the crew, often through a device called a cox box and speakers. The cox usually sits in the stern of the boat facing the rowers but in bowloaders, usually seen in the coxed four and coxed pair types of boat, the coxswain lies in the bow. | A coxswain sits in the stern of a rowing boat. A coxswain steers using rudder strings and coordinates the rowers through speakers located throughout the boat. | summarization | ### Instruction: What is the role of the coxswain?
### Context: The coxswain (or simply the cox) is the member who steers the boat using rudder strings, and coordinates the power and rhythm of the rowers, by communicating to the crew, often through a device called a cox box and speakers. The cox usually sits in the stern of the boat facing the rowers but in bowloaders, usually seen in the coxed four and coxed pair types of boat, the coxswain lies in the bow.
### Answer: A coxswain sits in the stern of a rowing boat. A coxswain steers using rudder strings and coordinates the rowers through speakers located throughout the boat.</s> |
Total # of Documentary in Netflix since 2023 | Documentaries
Title Premiere Runtime Language
Mumbai Mafia: Police vs The Underworld January 6, 2023 1 h 27 min English
The Hatchet Wielding Hitchhiker January 10, 2023 1 h 25 min English
Big Mäck: Gangsters and Gold January 20, 2023 1 h 30 min German
Pamela, a Love Story January 31, 2023 1 h 52 min English
Money Shot: The Pornhub Story March 15, 2023 1 h 34 min English
Caught Out: Crime. Corruption. Cricket. March 17, 2023 1 h 17 min English
Lewis Capaldi: How I'm Feeling Now April 5, 2023 1 h 36 min English | There are 8 Documentaries on netflix since 2023 | summarization | ### Instruction: Total # of Documentary in Netflix since 2023
### Context: Documentaries
Title Premiere Runtime Language
Mumbai Mafia: Police vs The Underworld January 6, 2023 1 h 27 min English
The Hatchet Wielding Hitchhiker January 10, 2023 1 h 25 min English
Big Mäck: Gangsters and Gold January 20, 2023 1 h 30 min German
Pamela, a Love Story January 31, 2023 1 h 52 min English
Money Shot: The Pornhub Story March 15, 2023 1 h 34 min English
Caught Out: Crime. Corruption. Cricket. March 17, 2023 1 h 17 min English
Lewis Capaldi: How I'm Feeling Now April 5, 2023 1 h 36 min English
### Answer: There are 8 Documentaries on netflix since 2023</s> |
What are the benefits of a data warehouse? | A data warehouse maintains a copy of information from the source transaction systems. This architectural complexity provides the opportunity to:
Integrate data from multiple sources into a single database and data model. More congregation of data to single database so a single query engine can be used to present data in an ODS.
Mitigate the problem of database isolation level lock contention in transaction processing systems caused by attempts to run large, long-running analysis queries in transaction processing databases.
Maintain data history, even if the source transaction systems do not.
Integrate data from multiple source systems, enabling a central view across the enterprise. This benefit is always valuable, but particularly so when the organization has grown by merger.
Improve data quality, by providing consistent codes and descriptions, flagging or even fixing bad data.
Present the organization's information consistently.
Provide a single common data model for all data of interest regardless of the data's source.
Restructure the data so that it makes sense to the business users.
Restructure the data so that it delivers excellent query performance, even for complex analytic queries, without impacting the operational systems.
Add value to operational business applications, notably customer relationship management (CRM) systems.
Make decision–support queries easier to write.
Organize and disambiguate repetitive data. | A data warehouse provides multiple benefits including but not limited to: the integration of data from multiple sources in a single database and data model, maintaining data history, integrating data from multiple sources and providing access to such data across the enterprise, and presenting the information consistently and in a way that makes sense to business users so that they can do decision making. | summarization | ### Instruction: What are the benefits of a data warehouse?
### Context: A data warehouse maintains a copy of information from the source transaction systems. This architectural complexity provides the opportunity to:
Integrate data from multiple sources into a single database and data model. More congregation of data to single database so a single query engine can be used to present data in an ODS.
Mitigate the problem of database isolation level lock contention in transaction processing systems caused by attempts to run large, long-running analysis queries in transaction processing databases.
Maintain data history, even if the source transaction systems do not.
Integrate data from multiple source systems, enabling a central view across the enterprise. This benefit is always valuable, but particularly so when the organization has grown by merger.
Improve data quality, by providing consistent codes and descriptions, flagging or even fixing bad data.
Present the organization's information consistently.
Provide a single common data model for all data of interest regardless of the data's source.
Restructure the data so that it makes sense to the business users.
Restructure the data so that it delivers excellent query performance, even for complex analytic queries, without impacting the operational systems.
Add value to operational business applications, notably customer relationship management (CRM) systems.
Make decision–support queries easier to write.
Organize and disambiguate repetitive data.
### Answer: A data warehouse provides multiple benefits including but not limited to: the integration of data from multiple sources in a single database and data model, maintaining data history, integrating data from multiple sources and providing access to such data across the enterprise, and presenting the information consistently and in a way that makes sense to business users so that they can do decision making.</s> |
List all the singles Jimmy Cozier has. | Jimmy Cozier (born February 6, 1977) is an American R&B singer and songwriter. He is best known for his hit single "She's All I Got" and for being one of the inaugural artists signed to Clive Davis' J Records label.
Biography
The son of Guyanese American jazz saxophonist Jimmy Cozier, and Dawn Cozier, a Jamaican born hair stylist. Cozier and his younger brother Malik were raised in Crown Heights, Brooklyn. Cozier was encouraged to sing as a child by his family, who would demand that he perform in group settings. He started out as a singer/songwriter for artists such as Mýa, Sinéad O'Connor, and Janet Jackson (whose hit "Girlfriend/Boyfriend" he co-wrote). He was a background vocalist for the Junior Mafia/Lil' Kim track "Backstabbers" and toured with Joe behind the latter's album All That I Am.
Wyclef Jean caught word of Cozier's talent thru Cozier manager Jacques “Haitian Jack” Agnant and had him meet with Clive Davis, who signed Cozier to J Records in 2000. His debut single "She's All I Got" was released in 2001, and rose to #26 on the Billboard Hot 100 and to #4 on the R&B chart.
Following the success of the single, his self-titled debut album was released on July 9, 2001 and hit the Billboard Top 200 at #65 and #15 on the R&B Albums chart. A follow-up single "So Much to Lose" was released later in the year, and peaked at #123 on the R&B chart. He also appeared on labelmate Alicia Keys' debut Songs in A Minor on the track "Mr. Man" which he co-wrote, and "Turn Around" with other labelmate Olivia, on her self-titled debut album.
He began writing songs for other artists such as Chris Brown, Olivia and Cheri Dennis in the years since. After the folding of J Records, he became an independent artist, creating his own label, Cozi Music Inc.
In 2007, he announced work on a new album, releasing two singles, "U Got Them Goods" and "You", that year. Continued work on his sophomore album stretched through 2010.
His second album, Way of Life was announced in 2010, led by the single "Tonight" which was released on March 2, 2010. The album was released on March 16, 2010.
In 2013, he collaborated with Sean Paul for his single "Always Be My Lady" which was released on August 2. Additionally, he released a single "Girls Girls" that year.
The next year, he premiered a new single "Choose Me" featuring Shaggy and announced his third album would be titled R&B (Reggae & Blues) set for a 2015 release. Following the single, he collaborated with artists such as Gyptian, Elephant Man, Shaggy, Red Fox, Melissa Musique on various compilation albums. One of those collaborations, "Special Girl (Remix)" was released as a single in 2014.
His third album, titled Get Cozi was released on December 9, 2016. The set's second single "I'll Change" was announced that same month.
Discography
Albums
Jimmy Cozier (2001)
Way of Life (2010)
Get Cozi (2016)
Singles
2001: "She's All I Got"
2001: "So Much To Lose"
2007: "U Got Them Goods"
2007: "You"
2010: "Tonight"
2013: "Always Be My Lady" (with Sean Paul)
2013: "Girls Girls"
2014: "Special Girl (Remix)" (with Supa Hype, Gyptian)
2014: "Choose Me" (featuring Shaggy)
2016: "I'll Change"
2018: "Love Her" | 2001: "She's All I Got"
2001: "So Much To Lose"
2007: "U Got Them Goods"
2007: "You"
2010: "Tonight"
2013: "Always Be My Lady" (with Sean Paul)
2013: "Girls Girls"
2014: "Special Girl (Remix)" (with Supa Hype, Gyptian)
2014: "Choose Me" (featuring Shaggy)
2016: "I'll Change"
2018: "Love Her" | summarization | ### Instruction: List all the singles Jimmy Cozier has.
### Context: Jimmy Cozier (born February 6, 1977) is an American R&B singer and songwriter. He is best known for his hit single "She's All I Got" and for being one of the inaugural artists signed to Clive Davis' J Records label.
Biography
The son of Guyanese American jazz saxophonist Jimmy Cozier, and Dawn Cozier, a Jamaican born hair stylist. Cozier and his younger brother Malik were raised in Crown Heights, Brooklyn. Cozier was encouraged to sing as a child by his family, who would demand that he perform in group settings. He started out as a singer/songwriter for artists such as Mýa, Sinéad O'Connor, and Janet Jackson (whose hit "Girlfriend/Boyfriend" he co-wrote). He was a background vocalist for the Junior Mafia/Lil' Kim track "Backstabbers" and toured with Joe behind the latter's album All That I Am.
Wyclef Jean caught word of Cozier's talent thru Cozier manager Jacques “Haitian Jack” Agnant and had him meet with Clive Davis, who signed Cozier to J Records in 2000. His debut single "She's All I Got" was released in 2001, and rose to #26 on the Billboard Hot 100 and to #4 on the R&B chart.
Following the success of the single, his self-titled debut album was released on July 9, 2001 and hit the Billboard Top 200 at #65 and #15 on the R&B Albums chart. A follow-up single "So Much to Lose" was released later in the year, and peaked at #123 on the R&B chart. He also appeared on labelmate Alicia Keys' debut Songs in A Minor on the track "Mr. Man" which he co-wrote, and "Turn Around" with other labelmate Olivia, on her self-titled debut album.
He began writing songs for other artists such as Chris Brown, Olivia and Cheri Dennis in the years since. After the folding of J Records, he became an independent artist, creating his own label, Cozi Music Inc.
In 2007, he announced work on a new album, releasing two singles, "U Got Them Goods" and "You", that year. Continued work on his sophomore album stretched through 2010.
His second album, Way of Life was announced in 2010, led by the single "Tonight" which was released on March 2, 2010. The album was released on March 16, 2010.
In 2013, he collaborated with Sean Paul for his single "Always Be My Lady" which was released on August 2. Additionally, he released a single "Girls Girls" that year.
The next year, he premiered a new single "Choose Me" featuring Shaggy and announced his third album would be titled R&B (Reggae & Blues) set for a 2015 release. Following the single, he collaborated with artists such as Gyptian, Elephant Man, Shaggy, Red Fox, Melissa Musique on various compilation albums. One of those collaborations, "Special Girl (Remix)" was released as a single in 2014.
His third album, titled Get Cozi was released on December 9, 2016. The set's second single "I'll Change" was announced that same month.
Discography
Albums
Jimmy Cozier (2001)
Way of Life (2010)
Get Cozi (2016)
Singles
2001: "She's All I Got"
2001: "So Much To Lose"
2007: "U Got Them Goods"
2007: "You"
2010: "Tonight"
2013: "Always Be My Lady" (with Sean Paul)
2013: "Girls Girls"
2014: "Special Girl (Remix)" (with Supa Hype, Gyptian)
2014: "Choose Me" (featuring Shaggy)
2016: "I'll Change"
2018: "Love Her"
### Answer: 2001: "She's All I Got"
2001: "So Much To Lose"
2007: "U Got Them Goods"
2007: "You"
2010: "Tonight"
2013: "Always Be My Lady" (with Sean Paul)
2013: "Girls Girls"
2014: "Special Girl (Remix)" (with Supa Hype, Gyptian)
2014: "Choose Me" (featuring Shaggy)
2016: "I'll Change"
2018: "Love Her"</s> |
What is the Tritonia auriculata | Tritonia auriculata is a species of dendronotid nudibranch. It is a marine gastropod mollusc in the family Tritoniidae. | Tritonia auriculata is a species of dendronotid nudibranch. It is a marine gastropod mollusc in the family Tritoniidae | summarization | ### Instruction: What is the Tritonia auriculata
### Context: Tritonia auriculata is a species of dendronotid nudibranch. It is a marine gastropod mollusc in the family Tritoniidae.
### Answer: Tritonia auriculata is a species of dendronotid nudibranch. It is a marine gastropod mollusc in the family Tritoniidae</s> |
What are the primary uses of horses according to the text? | Horses and humans interact in a wide variety of sport competitions and non-competitive recreational pursuits as well as in working activities such as police work, agriculture, entertainment, and therapy. Horses were historically used in warfare, from which a wide variety of riding and driving techniques developed, using many different styles of equipment and methods of control. Many products are derived from horses, including meat, milk, hide, hair, bone, and pharmaceuticals extracted from the urine of pregnant mares. Humans provide domesticated horses with food, water, and shelter as well as attention from specialists such as veterinarians and farriers. | Horses can be used for recreational activities and therapy as well as working activities like police work or agriculture. Historically horses were also used in warfare. Horses can also provide products like meat, milk, hide, hair, bone or pharmaceuticals. | summarization | ### Instruction: What are the primary uses of horses according to the text?
### Context: Horses and humans interact in a wide variety of sport competitions and non-competitive recreational pursuits as well as in working activities such as police work, agriculture, entertainment, and therapy. Horses were historically used in warfare, from which a wide variety of riding and driving techniques developed, using many different styles of equipment and methods of control. Many products are derived from horses, including meat, milk, hide, hair, bone, and pharmaceuticals extracted from the urine of pregnant mares. Humans provide domesticated horses with food, water, and shelter as well as attention from specialists such as veterinarians and farriers.
### Answer: Horses can be used for recreational activities and therapy as well as working activities like police work or agriculture. Historically horses were also used in warfare. Horses can also provide products like meat, milk, hide, hair, bone or pharmaceuticals.</s> |
What is a Swedish Hare and why was it developed? | The Swedish Hare is a breed of domestic rabbit that resembles a hare and was developed, starting in 2008 in Sweden, for its competitive jumping ability. At the same time but separately, the Elfin breed was being developed in the United States—also in response to the popularity of rabbit show jumping. The Elfin officially became the Swedish Hare in October 2011.[citation needed] | A Swedish Hare is a domestic rabbit developed for competitive jumping. | summarization | ### Instruction: What is a Swedish Hare and why was it developed?
### Context: The Swedish Hare is a breed of domestic rabbit that resembles a hare and was developed, starting in 2008 in Sweden, for its competitive jumping ability. At the same time but separately, the Elfin breed was being developed in the United States—also in response to the popularity of rabbit show jumping. The Elfin officially became the Swedish Hare in October 2011.[citation needed]
### Answer: A Swedish Hare is a domestic rabbit developed for competitive jumping.</s> |
What is a dispersive prism? | In optics, a dispersive prism is an optical prism that is used to disperse light, that is, to separate light into its spectral components (the colors of the rainbow). Different wavelengths (colors) of light will be deflected by the prism at different angles. This is a result of the prism material's index of refraction varying with wavelength (dispersion). Generally, longer wavelengths (red) undergo a smaller deviation than shorter wavelengths (blue). The dispersion of white light into colors by a prism led Sir Isaac Newton to conclude that white light consisted of a mixture of different colors. | A dispersive prism is an optical prism that disperses the light's different wavelengths at different angles. When white light is shined through a dispersive prism it will separate into the different colors of the rainbow. | summarization | ### Instruction: What is a dispersive prism?
### Context: In optics, a dispersive prism is an optical prism that is used to disperse light, that is, to separate light into its spectral components (the colors of the rainbow). Different wavelengths (colors) of light will be deflected by the prism at different angles. This is a result of the prism material's index of refraction varying with wavelength (dispersion). Generally, longer wavelengths (red) undergo a smaller deviation than shorter wavelengths (blue). The dispersion of white light into colors by a prism led Sir Isaac Newton to conclude that white light consisted of a mixture of different colors.
### Answer: A dispersive prism is an optical prism that disperses the light's different wavelengths at different angles. When white light is shined through a dispersive prism it will separate into the different colors of the rainbow.</s> |
Given the text, write a summary of the effects of the Super Mushroom power-up in the Super Mario videogame series | Mushroom power-ups appear in almost every Super Mario game. The most iconic of these is the Super Mushroom. The Super Mushroom increases the character's size, turning them into a "Super" variant, and allows them to break certain blocks. When hit by an enemy, the character reverts to their smaller size instead of losing a life. When the character is in their "Super" form, most blocks that would contain a Super Mushroom instead offer a more powerful power-up such as the Fire Flower. The Super Mushroom is similar in appearance to the Amanita muscaria, with an ivory stalk below a most commonly red and white (originally red and orange) spotted cap. Created by chance, Shigeru Miyamoto stated in an interview that beta tests of Super Mario Bros. proved Mario too tall, so the development team implemented mushrooms to grow and shrink Mario. Different variants of mushroom power-ups appear in the series. For example, Super Mario Bros.: The Lost Levels introduces the Poison Mushroom, which causes damage when collected; and New Super Mario Bros. introduces the Mini Mushroom, which shrinks the character to miniature size; and the Mega Mushroom, grows the character into a towering, invulnerable giant who destroys enemies and the environment by running through them.
Super Mario Bros. 3 introduces suits to the Super Mario series, many of which are based on animals or Mario enemies. The Raccoon Suit (provisioned by a Super Leaf) and the Tanooki Suit each provide the character with a tail that enables flight. In addition, the Tanooki Suit lets the character spontaneously change into an invincible statue for about five seconds. Super Mario Bros. 3 includes a Hammer Bros. suit, which allows Mario and Luigi to throw hammers as projectiles to defeat enemies at a distance. Other suits in later games in the series include the Frog Suit, Penguin Suit, Cat Suit, Boomerang Suit, and Bee Suit. | The Super Mushroom is one of the main power-ups in the Super Mario games and appear in almost every game of the series.
The Super Mushroom makes Mario bigger, more stronger and therefore able to break certain blocks. When Mario takes damage, for example when hit by an enemy. he loses the power-up, and turns back to its original small size.
There are other variants of the mushroom power-up throughout the Super Mario series. | summarization | ### Instruction: Given the text, write a summary of the effects of the Super Mushroom power-up in the Super Mario videogame series
### Context: Mushroom power-ups appear in almost every Super Mario game. The most iconic of these is the Super Mushroom. The Super Mushroom increases the character's size, turning them into a "Super" variant, and allows them to break certain blocks. When hit by an enemy, the character reverts to their smaller size instead of losing a life. When the character is in their "Super" form, most blocks that would contain a Super Mushroom instead offer a more powerful power-up such as the Fire Flower. The Super Mushroom is similar in appearance to the Amanita muscaria, with an ivory stalk below a most commonly red and white (originally red and orange) spotted cap. Created by chance, Shigeru Miyamoto stated in an interview that beta tests of Super Mario Bros. proved Mario too tall, so the development team implemented mushrooms to grow and shrink Mario. Different variants of mushroom power-ups appear in the series. For example, Super Mario Bros.: The Lost Levels introduces the Poison Mushroom, which causes damage when collected; and New Super Mario Bros. introduces the Mini Mushroom, which shrinks the character to miniature size; and the Mega Mushroom, grows the character into a towering, invulnerable giant who destroys enemies and the environment by running through them.
Super Mario Bros. 3 introduces suits to the Super Mario series, many of which are based on animals or Mario enemies. The Raccoon Suit (provisioned by a Super Leaf) and the Tanooki Suit each provide the character with a tail that enables flight. In addition, the Tanooki Suit lets the character spontaneously change into an invincible statue for about five seconds. Super Mario Bros. 3 includes a Hammer Bros. suit, which allows Mario and Luigi to throw hammers as projectiles to defeat enemies at a distance. Other suits in later games in the series include the Frog Suit, Penguin Suit, Cat Suit, Boomerang Suit, and Bee Suit.
### Answer: The Super Mushroom is one of the main power-ups in the Super Mario games and appear in almost every game of the series.
The Super Mushroom makes Mario bigger, more stronger and therefore able to break certain blocks. When Mario takes damage, for example when hit by an enemy. he loses the power-up, and turns back to its original small size.
There are other variants of the mushroom power-up throughout the Super Mario series.</s> |
From the given text, Please list some points about The International School of Beijing | The International School of Beijing (ISB, Chinese: 北京顺义国际学校) is a non-profit international coeducational day school in Beijing, China. The school was founded in 1980 and offers a dual English and Chinese language program for students from EY to Grade 12. ISB is recognized by the Beijing Education Commission (BEC) as an independent school for expatriate children. | 1. Located in Beijing, China, The International School of Beijing is a non-profit, coeducational international day school.
2. The school was established in 1980 and provides students in grades EY through 12 with a bilingual English and Chinese language programme.
3. ISB is acknowledged as an independent school for children of expatriates by the Beijing Education Commission (BEC). | summarization | ### Instruction: From the given text, Please list some points about The International School of Beijing
### Context: The International School of Beijing (ISB, Chinese: 北京顺义国际学校) is a non-profit international coeducational day school in Beijing, China. The school was founded in 1980 and offers a dual English and Chinese language program for students from EY to Grade 12. ISB is recognized by the Beijing Education Commission (BEC) as an independent school for expatriate children.
### Answer: 1. Located in Beijing, China, The International School of Beijing is a non-profit, coeducational international day school.
2. The school was established in 1980 and provides students in grades EY through 12 with a bilingual English and Chinese language programme.
3. ISB is acknowledged as an independent school for children of expatriates by the Beijing Education Commission (BEC).</s> |
Explain the difference between rhotic and non-rhotic dialects of English. | Rhoticity in English is the pronunciation of the historical rhotic consonant /r/ by English speakers. The presence or absence of rhoticity is one of the most prominent distinctions by which varieties of English can be classified. In rhotic varieties, the historical English /r/ sound is preserved in all pronunciation contexts. In non-rhotic varieties, speakers no longer pronounce /r/ in postvocalic environments—that is, when it is immediately after a vowel and not followed by another vowel. For example, in isolation, a rhotic English speaker pronounces the words hard and butter as /ˈhɑːrd/ and /ˈbʌtər/, whereas a non-rhotic speaker "drops" or "deletes" the /r/ sound, pronouncing them as /ˈhɑːd/ and /ˈbʌtə/. When an r is at the end of a word but the next word begins with a vowel, as in the phrase "better apples", most non-rhotic speakers will pronounce the /r/ in that position (the linking R), since it is followed by a vowel in this case.
The rhotic varieties of English include the dialects of South West England, Scotland, Ireland, and most of the United States and Canada. The non-rhotic varieties include most of the dialects of modern England, Wales, Australia, New Zealand, and South Africa. In some varieties, such as those of some parts of the southern and northeastern United States, rhoticity is a sociolinguistic variable: postvocalic r is deleted depending on an array of social factors, such as being more correlated today with lower socioeconomic status, greater age, certain ethnic identities, and less formal speaking contexts.
Evidence from written documents suggests that loss of postvocalic /r/ began sporadically during the mid-15th century, although these /r/-less spellings were uncommon and were restricted to private documents, especially ones written by women in England. In the mid-18th century, postvocalic /r/ was still pronounced in most environments, but by the 1740s to 1770s it was often deleted entirely, especially after low vowels. By the early 19th century, the southern British standard was fully transformed into a non-rhotic variety, though some variation persisted as late as the 1870s.
In the 18th century (and possibly 17th century), the loss of postvocalic /r/ in British English influenced southern and eastern American port cities with close connections to Britain, causing their upper-class pronunciation to become non-rhotic while the rest of the United States remained rhotic. Non-rhotic pronunciation continued to influence American prestige speech until the 1860s, when the American Civil War began to shift America's centers of wealth and political power to rhotic areas with fewer cultural connections to the old colonial and British elites. In the United States, non-rhotic speech continued to hold some level of prestige up until the mid-20th century, but rhotic speech in particular became prestigious nationwide rapidly after the Second World War, reflected in the national standard of radio and television since the mid-20th century embracing historical /r/. | In rhotic English dialects, the historical English /r/ sound is preserved in all pronunciation contexts. In non-rhotic English dialects, speakers no longer pronounce /r/ in postvocalic environments—that is, when it is immediately after a vowel and not followed by another vowel. For example, in isolation, a rhotic English speaker pronounces the words hard and butter as /ˈhɑːrd/ and /ˈbʌtər/, whereas a non-rhotic speaker "drops" or "deletes" the /r/ sound, pronouncing them as /ˈhɑːd/ and /ˈbʌtə/. The rhotic varieties of English include the dialects of South West England, Scotland, Ireland, and most of the United States and Canada. The non-rhotic varieties include most of the dialects of modern England, Wales, Australia, New Zealand, and South Africa. | summarization | ### Instruction: Explain the difference between rhotic and non-rhotic dialects of English.
### Context: Rhoticity in English is the pronunciation of the historical rhotic consonant /r/ by English speakers. The presence or absence of rhoticity is one of the most prominent distinctions by which varieties of English can be classified. In rhotic varieties, the historical English /r/ sound is preserved in all pronunciation contexts. In non-rhotic varieties, speakers no longer pronounce /r/ in postvocalic environments—that is, when it is immediately after a vowel and not followed by another vowel. For example, in isolation, a rhotic English speaker pronounces the words hard and butter as /ˈhɑːrd/ and /ˈbʌtər/, whereas a non-rhotic speaker "drops" or "deletes" the /r/ sound, pronouncing them as /ˈhɑːd/ and /ˈbʌtə/. When an r is at the end of a word but the next word begins with a vowel, as in the phrase "better apples", most non-rhotic speakers will pronounce the /r/ in that position (the linking R), since it is followed by a vowel in this case.
The rhotic varieties of English include the dialects of South West England, Scotland, Ireland, and most of the United States and Canada. The non-rhotic varieties include most of the dialects of modern England, Wales, Australia, New Zealand, and South Africa. In some varieties, such as those of some parts of the southern and northeastern United States, rhoticity is a sociolinguistic variable: postvocalic r is deleted depending on an array of social factors, such as being more correlated today with lower socioeconomic status, greater age, certain ethnic identities, and less formal speaking contexts.
Evidence from written documents suggests that loss of postvocalic /r/ began sporadically during the mid-15th century, although these /r/-less spellings were uncommon and were restricted to private documents, especially ones written by women in England. In the mid-18th century, postvocalic /r/ was still pronounced in most environments, but by the 1740s to 1770s it was often deleted entirely, especially after low vowels. By the early 19th century, the southern British standard was fully transformed into a non-rhotic variety, though some variation persisted as late as the 1870s.
In the 18th century (and possibly 17th century), the loss of postvocalic /r/ in British English influenced southern and eastern American port cities with close connections to Britain, causing their upper-class pronunciation to become non-rhotic while the rest of the United States remained rhotic. Non-rhotic pronunciation continued to influence American prestige speech until the 1860s, when the American Civil War began to shift America's centers of wealth and political power to rhotic areas with fewer cultural connections to the old colonial and British elites. In the United States, non-rhotic speech continued to hold some level of prestige up until the mid-20th century, but rhotic speech in particular became prestigious nationwide rapidly after the Second World War, reflected in the national standard of radio and television since the mid-20th century embracing historical /r/.
### Answer: In rhotic English dialects, the historical English /r/ sound is preserved in all pronunciation contexts. In non-rhotic English dialects, speakers no longer pronounce /r/ in postvocalic environments—that is, when it is immediately after a vowel and not followed by another vowel. For example, in isolation, a rhotic English speaker pronounces the words hard and butter as /ˈhɑːrd/ and /ˈbʌtər/, whereas a non-rhotic speaker "drops" or "deletes" the /r/ sound, pronouncing them as /ˈhɑːd/ and /ˈbʌtə/. The rhotic varieties of English include the dialects of South West England, Scotland, Ireland, and most of the United States and Canada. The non-rhotic varieties include most of the dialects of modern England, Wales, Australia, New Zealand, and South Africa.</s> |
Give me an overview of the rivalry between the Celtics and Lakers. | The Celtics–Lakers rivalry is a National Basketball Association (NBA) rivalry between the Boston Celtics and the Los Angeles Lakers. The Celtics and the Lakers are the two most storied franchises in the NBA, and the rivalry has been called the greatest in the NBA. The Boston Celtics and the Los Angeles Lakers have met a record 12 times in the NBA Finals, with their first such meeting being in 1959. They would both go on to dominate the league in the 1960s and 1980s, facing each other in the Finals six times in the 1960s, three times in the 1980s, and twice since the year 2000.
The Lakers and Celtics are tied for the highest number of championships in the NBA at 17 apiece, (12 as the L.A. Lakers and 5 as the Minneapolis Lakers). Together, they account for 34 of the 74 championships (or 45%) in NBA history. As of 2018, the Celtics and Lakers have a .590 and .596 all-time winning records respectively. As of the end of the 2020–21 season, Boston is the only team with a winning overall record against the Lakers.
The rivalry has been less intense since the retirements of Larry Bird and Magic Johnson in the early 1990s. In 2008 the two teams met in the NBA Finals for the first time since 1987, with the Celtics winning the series 4–2. They met again in the 2010 NBA Finals, which the Lakers won in 7 games. | The Celtics-Lakers rivalry is an NBA(National Basketball Association) rivalry between the Boston Celtics and the Los Angeles Lakers. They are two of the most storied NBA franchises, and have met a record 12 times in the NBA finals. The first meeting in the finals between them was in 1959, and the latest was in 2010. Both teams are tied for the highest number of NBA championships at 17, and account for 34 of the 72 total NBA championships. The rivalry peaked in the 60s and 90, when the teams faced each other in the finals 6 times in the 60s and 3 times in the 90s. | summarization | ### Instruction: Give me an overview of the rivalry between the Celtics and Lakers.
### Context: The Celtics–Lakers rivalry is a National Basketball Association (NBA) rivalry between the Boston Celtics and the Los Angeles Lakers. The Celtics and the Lakers are the two most storied franchises in the NBA, and the rivalry has been called the greatest in the NBA. The Boston Celtics and the Los Angeles Lakers have met a record 12 times in the NBA Finals, with their first such meeting being in 1959. They would both go on to dominate the league in the 1960s and 1980s, facing each other in the Finals six times in the 1960s, three times in the 1980s, and twice since the year 2000.
The Lakers and Celtics are tied for the highest number of championships in the NBA at 17 apiece, (12 as the L.A. Lakers and 5 as the Minneapolis Lakers). Together, they account for 34 of the 74 championships (or 45%) in NBA history. As of 2018, the Celtics and Lakers have a .590 and .596 all-time winning records respectively. As of the end of the 2020–21 season, Boston is the only team with a winning overall record against the Lakers.
The rivalry has been less intense since the retirements of Larry Bird and Magic Johnson in the early 1990s. In 2008 the two teams met in the NBA Finals for the first time since 1987, with the Celtics winning the series 4–2. They met again in the 2010 NBA Finals, which the Lakers won in 7 games.
### Answer: The Celtics-Lakers rivalry is an NBA(National Basketball Association) rivalry between the Boston Celtics and the Los Angeles Lakers. They are two of the most storied NBA franchises, and have met a record 12 times in the NBA finals. The first meeting in the finals between them was in 1959, and the latest was in 2010. Both teams are tied for the highest number of NBA championships at 17, and account for 34 of the 72 total NBA championships. The rivalry peaked in the 60s and 90, when the teams faced each other in the finals 6 times in the 60s and 3 times in the 90s.</s> |
Kindly provide a bullet list of key aspects of Cricket sport from the given passage. | Cricket is a bat-and-ball game played between two teams of eleven players on a field at the centre of which is a 22-yard (20-metre) pitch with a wicket at each end, each comprising two bails balanced on three stumps. The batting side scores runs by striking the ball bowled at one of the wickets with the bat and then running between the wickets, while the bowling and fielding side tries to prevent this (by preventing the ball from leaving the field, and getting the ball to either wicket) and dismiss each batter (so they are "out"). Means of dismissal include being bowled, when the ball hits the stumps and dislodges the bails, and by the fielding side either catching the ball after it is hit by the bat, but before it hits the ground, or hitting a wicket with the ball before a batter can cross the crease in front of the wicket. When ten batters have been dismissed, the innings ends and the teams swap roles. The game is adjudicated by two umpires, aided by a third umpire and match referee in international matches. They communicate with two off-field scorers who record the match's statistical information. | 1. Cricket is a game played with bat and ball between 2 teams of 11 players each.
2. The game is played on a pitch of 22 yard which has a wicket (2 bails on 3 stumps) on both ends.
3. One team does batting another does bowling.
4. The batting side scores runs by striking the bowl and then running between wickets.
5. Bowling sides tries to prevent batting side from getting the ball leaving the field along with getting the bowl to either wicket so that batter can be dismissed.
6. Dismissal can happen when ball hits the stumps and throws the bails, fielders on bowling side catching the ball after hitting the bat but before hitting the ground or by hitting the wicket with the bowl before the batter can cross the crease in front of wicket.
7. When 10 batters are dismissed, the innings ends and roles of the teams are reversed.
8. The game is supervised by 2 umpires, a third umpire and match referee in international matches.
9. The umpires communicate with two off-field scores who records the match's statistical information | summarization | ### Instruction: Kindly provide a bullet list of key aspects of Cricket sport from the given passage.
### Context: Cricket is a bat-and-ball game played between two teams of eleven players on a field at the centre of which is a 22-yard (20-metre) pitch with a wicket at each end, each comprising two bails balanced on three stumps. The batting side scores runs by striking the ball bowled at one of the wickets with the bat and then running between the wickets, while the bowling and fielding side tries to prevent this (by preventing the ball from leaving the field, and getting the ball to either wicket) and dismiss each batter (so they are "out"). Means of dismissal include being bowled, when the ball hits the stumps and dislodges the bails, and by the fielding side either catching the ball after it is hit by the bat, but before it hits the ground, or hitting a wicket with the ball before a batter can cross the crease in front of the wicket. When ten batters have been dismissed, the innings ends and the teams swap roles. The game is adjudicated by two umpires, aided by a third umpire and match referee in international matches. They communicate with two off-field scorers who record the match's statistical information.
### Answer: 1. Cricket is a game played with bat and ball between 2 teams of 11 players each.
2. The game is played on a pitch of 22 yard which has a wicket (2 bails on 3 stumps) on both ends.
3. One team does batting another does bowling.
4. The batting side scores runs by striking the bowl and then running between wickets.
5. Bowling sides tries to prevent batting side from getting the ball leaving the field along with getting the bowl to either wicket so that batter can be dismissed.
6. Dismissal can happen when ball hits the stumps and throws the bails, fielders on bowling side catching the ball after hitting the bat but before hitting the ground or by hitting the wicket with the bowl before the batter can cross the crease in front of wicket.
7. When 10 batters are dismissed, the innings ends and roles of the teams are reversed.
8. The game is supervised by 2 umpires, a third umpire and match referee in international matches.
9. The umpires communicate with two off-field scores who records the match's statistical information</s> |
Is Sicher a software company | Sicher (German language word meaning "safe", "secure" or "certain") is a freeware instant messaging application for iOS, Android, and Windows Phone. Sicher allows users to exchange end-to-end encrypted text messages, media files and documents in both private and group chats. Sicher is developed by SHAPE GmbH, German company which pioneered mobile messaging with IM+ multi-messenger app it has been offering since 2002. | Sicher (German language word meaning "safe", "secure" or "certain") is a freeware instant messaging application for iOS, Android, and Windows Phone. Sicher allows users to exchange end-to-end encrypted text messages, media files and documents in both private and group chats. Sicher is developed by SHAPE GmbH, German company which pioneered mobile messaging with IM+ multi-messenger app it has been offering since 2002. | summarization | ### Instruction: Is Sicher a software company
### Context: Sicher (German language word meaning "safe", "secure" or "certain") is a freeware instant messaging application for iOS, Android, and Windows Phone. Sicher allows users to exchange end-to-end encrypted text messages, media files and documents in both private and group chats. Sicher is developed by SHAPE GmbH, German company which pioneered mobile messaging with IM+ multi-messenger app it has been offering since 2002.
### Answer: Sicher (German language word meaning "safe", "secure" or "certain") is a freeware instant messaging application for iOS, Android, and Windows Phone. Sicher allows users to exchange end-to-end encrypted text messages, media files and documents in both private and group chats. Sicher is developed by SHAPE GmbH, German company which pioneered mobile messaging with IM+ multi-messenger app it has been offering since 2002.</s> |
Give me an overview of the inspiration of the development of Barbie based on this passage | Ruth Handler watched her daughter Barbara play with paper dolls, and noticed that she often enjoyed giving them adult roles. At the time, most children's toy dolls were representations of infants. Realizing that there could be a gap in the market, Handler suggested the idea of an adult-bodied doll to her husband Elliot, a co-founder of the Mattel toy company. He was unenthusiastic about the idea, as were Mattel's directors.
During a trip to Europe in 1956 with her children Barbara and Kenneth, Ruth Handler came across a German toy doll called Bild Lilli. The adult-figured doll was exactly what Handler had in mind, so she purchased three of them. She gave one to her daughter and took the others back to Mattel. The Lilli doll was based on a popular character appearing in a comic strip drawn by Reinhard Beuthin for the newspaper Bild. Lilli was a blonde bombshell, a working girl who knew what she wanted and was not above using men to get it. The Lilli doll was first sold in Germany in 1955, and although it was initially sold to adults, it became popular with children who enjoyed dressing her up in outfits that were available separately. | The Barbie Doll was invented by Ruth Handler, who was inspired by a German Doll called Bild Lilli. Unlike most American dolls, which were infants, Lilli was an adult. Ruth was inspired to make a similar type of doll for her daughter because she noticed her daughter liked to give her dolls adult rolls. | summarization | ### Instruction: Give me an overview of the inspiration of the development of Barbie based on this passage
### Context: Ruth Handler watched her daughter Barbara play with paper dolls, and noticed that she often enjoyed giving them adult roles. At the time, most children's toy dolls were representations of infants. Realizing that there could be a gap in the market, Handler suggested the idea of an adult-bodied doll to her husband Elliot, a co-founder of the Mattel toy company. He was unenthusiastic about the idea, as were Mattel's directors.
During a trip to Europe in 1956 with her children Barbara and Kenneth, Ruth Handler came across a German toy doll called Bild Lilli. The adult-figured doll was exactly what Handler had in mind, so she purchased three of them. She gave one to her daughter and took the others back to Mattel. The Lilli doll was based on a popular character appearing in a comic strip drawn by Reinhard Beuthin for the newspaper Bild. Lilli was a blonde bombshell, a working girl who knew what she wanted and was not above using men to get it. The Lilli doll was first sold in Germany in 1955, and although it was initially sold to adults, it became popular with children who enjoyed dressing her up in outfits that were available separately.
### Answer: The Barbie Doll was invented by Ruth Handler, who was inspired by a German Doll called Bild Lilli. Unlike most American dolls, which were infants, Lilli was an adult. Ruth was inspired to make a similar type of doll for her daughter because she noticed her daughter liked to give her dolls adult rolls.</s> |
What is the essence of utilitarianism? | Utilitarianism is a consequentialist approach to normative ethics that holds morally right actions are those that promote the most human happiness. Jeremy Bentham, who created his version of the theory in 1829, and John Stuart Mill who made his in 1861 are considered the founders of utilitarianism, though the basic concept predates either of the two philosophers. Utilitarianism remains as one of the more appealing and compelling approaches to normative ethics. | Utilitarianism evaluates any action in terms of the amount of human happiness delivered as the result of the action. | summarization | ### Instruction: What is the essence of utilitarianism?
### Context: Utilitarianism is a consequentialist approach to normative ethics that holds morally right actions are those that promote the most human happiness. Jeremy Bentham, who created his version of the theory in 1829, and John Stuart Mill who made his in 1861 are considered the founders of utilitarianism, though the basic concept predates either of the two philosophers. Utilitarianism remains as one of the more appealing and compelling approaches to normative ethics.
### Answer: Utilitarianism evaluates any action in terms of the amount of human happiness delivered as the result of the action.</s> |
Who is Bon Jovi | Bon Jovi is an American rock band formed in 1983 in Sayreville, New Jersey. It consists of singer Jon Bon Jovi, keyboardist David Bryan, drummer Tico Torres, guitarist Phil X, and bassist Hugh McDonald. Original bassist Alec John Such quit the band in 1994, and longtime guitarist and co-songwriter Richie Sambora left in 2013. The band has been credited with " the gap between heavy metal and pop with style and ease". | Bon Jovi is an American rock band formed in 1983 in Sayreville, New Jersey. It consists of singer Jon Bon Jovi, keyboardist David Bryan, drummer Tico Torres, guitarist Phil X, and bassist Hugh McDonald. Original bassist Alec John Such quit the band in 1994, and longtime guitarist and co-songwriter Richie Sambora left in 2013. The band has been credited with bridging the gap between heavy metal and pop with style and ease. | summarization | ### Instruction: Who is Bon Jovi
### Context: Bon Jovi is an American rock band formed in 1983 in Sayreville, New Jersey. It consists of singer Jon Bon Jovi, keyboardist David Bryan, drummer Tico Torres, guitarist Phil X, and bassist Hugh McDonald. Original bassist Alec John Such quit the band in 1994, and longtime guitarist and co-songwriter Richie Sambora left in 2013. The band has been credited with " the gap between heavy metal and pop with style and ease".
### Answer: Bon Jovi is an American rock band formed in 1983 in Sayreville, New Jersey. It consists of singer Jon Bon Jovi, keyboardist David Bryan, drummer Tico Torres, guitarist Phil X, and bassist Hugh McDonald. Original bassist Alec John Such quit the band in 1994, and longtime guitarist and co-songwriter Richie Sambora left in 2013. The band has been credited with bridging the gap between heavy metal and pop with style and ease.</s> |
Using this definition, can you summarize why hyperventilation is considered dangerous? | Voluntary hyperventilation before beginning voluntary apnea is commonly believed to allow the person involved to safely hold their breath for a longer period. In reality, it will give the impression that one does not need to breathe, while the body is actually experiencing a blood-oxygen level that would normally, and indirectly, invoke a strong dyspnea and eventually involuntary breathing. Some have incorrectly attributed the effect of hyperventilation to increased oxygen in the blood, not realizing that it is actually due to a decrease in CO2 in the blood and lungs. Blood leaving the lungs is normally fully saturated with oxygen, so hyperventilation of normal air cannot increase the amount of oxygen available, as oxygen in blood is the direct factor. Lowering the CO2 concentration increases the pH of the blood, thus increasing the time before blood becomes acidic enough so the respiratory center becomes stimulated, as described above.
The primary urge to breathe is triggered by rising carbon dioxide (CO2) levels in the bloodstream. Carbon dioxide builds up in the bloodstream when oxygen is metabolized and it needs to be expelled as a waste product. The body detects carbon dioxide levels very accurately and relies on this as the primary trigger to control breathing. Hyperventilation artificially depletes the resting concentration of carbon dioxide causing a low blood carbon dioxide condition called hypocapnia. Hypocapnia reduces the reflexive respiratory drive, allowing the delay of breathing and leaving the diver susceptible to loss of consciousness from hypoxia. For most healthy people, the first sign of low oxygen levels is a greyout or unconsciousness: there is no bodily sensation that warns a diver of an impending blackout.
If a person loses consciousness underwater, there is considerable danger that they will drown. An alert diving partner or nearby lifeguard would be in the best position to rescue such a person. Static apnea blackout occurs at the surface when a motionless diver holds their breath long enough for the circulating oxygen in blood to fall below that required for the brain to maintain consciousness. It involves no pressure changes in the body and is usually performed to enhance breath-hold time. It should never be practiced alone, but under strict safety protocols with a safety guard or equipment beside the diver. | Hyperventilation does not increase the amount of oxygen available but artificially decreases carbon dioxide (CO2) levels in blood and lungs.
Because the primary urge to breathe is triggered by rising carbon dioxide levels, it gives false impression that one does not need to breath. This can lead to sudden lost of consciousness. If this happens underwater, there is a considerable risk of drowning.
This is why hyperventilation is considered as dangerous and should be avoided. | summarization | ### Instruction: Using this definition, can you summarize why hyperventilation is considered dangerous?
### Context: Voluntary hyperventilation before beginning voluntary apnea is commonly believed to allow the person involved to safely hold their breath for a longer period. In reality, it will give the impression that one does not need to breathe, while the body is actually experiencing a blood-oxygen level that would normally, and indirectly, invoke a strong dyspnea and eventually involuntary breathing. Some have incorrectly attributed the effect of hyperventilation to increased oxygen in the blood, not realizing that it is actually due to a decrease in CO2 in the blood and lungs. Blood leaving the lungs is normally fully saturated with oxygen, so hyperventilation of normal air cannot increase the amount of oxygen available, as oxygen in blood is the direct factor. Lowering the CO2 concentration increases the pH of the blood, thus increasing the time before blood becomes acidic enough so the respiratory center becomes stimulated, as described above.
The primary urge to breathe is triggered by rising carbon dioxide (CO2) levels in the bloodstream. Carbon dioxide builds up in the bloodstream when oxygen is metabolized and it needs to be expelled as a waste product. The body detects carbon dioxide levels very accurately and relies on this as the primary trigger to control breathing. Hyperventilation artificially depletes the resting concentration of carbon dioxide causing a low blood carbon dioxide condition called hypocapnia. Hypocapnia reduces the reflexive respiratory drive, allowing the delay of breathing and leaving the diver susceptible to loss of consciousness from hypoxia. For most healthy people, the first sign of low oxygen levels is a greyout or unconsciousness: there is no bodily sensation that warns a diver of an impending blackout.
If a person loses consciousness underwater, there is considerable danger that they will drown. An alert diving partner or nearby lifeguard would be in the best position to rescue such a person. Static apnea blackout occurs at the surface when a motionless diver holds their breath long enough for the circulating oxygen in blood to fall below that required for the brain to maintain consciousness. It involves no pressure changes in the body and is usually performed to enhance breath-hold time. It should never be practiced alone, but under strict safety protocols with a safety guard or equipment beside the diver.
### Answer: Hyperventilation does not increase the amount of oxygen available but artificially decreases carbon dioxide (CO2) levels in blood and lungs.
Because the primary urge to breathe is triggered by rising carbon dioxide levels, it gives false impression that one does not need to breath. This can lead to sudden lost of consciousness. If this happens underwater, there is a considerable risk of drowning.
This is why hyperventilation is considered as dangerous and should be avoided.</s> |
What was the purpose of the Security Exchange Act of 1934? | The Securities Exchange Act of 1934 (also called the Exchange Act, '34 Act, or 1934 Act) (Pub. L. 73–291, 48 Stat. 881, enacted June 6, 1934, codified at 15 U.S.C. § 78a et seq.) is a law governing the secondary trading of securities (stocks, bonds, and debentures) in the United States of America. A landmark of wide-ranging legislation, the Act of '34 and related statutes form the basis of regulation of the financial markets and their participants in the United States. The 1934 Act also established the Securities and Exchange Commission (SEC), the agency primarily responsible for enforcement of United States federal securities law.
Companies raise billions of dollars by issuing securities in what is known as the primary market. Contrasted with the Securities Act of 1933, which regulates these original issues, the Securities Exchange Act of 1934 regulates the secondary trading of those securities between persons often unrelated to the issuer, frequently through brokers or dealers. Trillions of dollars are made and lost each year through trading in the secondary market. | The purpose of the Security Exchange Act (SEA) of 1934 in the United States was to regulate the secondary trading market of securities like stocks and bonds between persons unrelated to the issuer. This act also created the Securities and Exchange commission (SEC) that enforces United States federal securities law. | summarization | ### Instruction: What was the purpose of the Security Exchange Act of 1934?
### Context: The Securities Exchange Act of 1934 (also called the Exchange Act, '34 Act, or 1934 Act) (Pub. L. 73–291, 48 Stat. 881, enacted June 6, 1934, codified at 15 U.S.C. § 78a et seq.) is a law governing the secondary trading of securities (stocks, bonds, and debentures) in the United States of America. A landmark of wide-ranging legislation, the Act of '34 and related statutes form the basis of regulation of the financial markets and their participants in the United States. The 1934 Act also established the Securities and Exchange Commission (SEC), the agency primarily responsible for enforcement of United States federal securities law.
Companies raise billions of dollars by issuing securities in what is known as the primary market. Contrasted with the Securities Act of 1933, which regulates these original issues, the Securities Exchange Act of 1934 regulates the secondary trading of those securities between persons often unrelated to the issuer, frequently through brokers or dealers. Trillions of dollars are made and lost each year through trading in the secondary market.
### Answer: The purpose of the Security Exchange Act (SEA) of 1934 in the United States was to regulate the secondary trading market of securities like stocks and bonds between persons unrelated to the issuer. This act also created the Securities and Exchange commission (SEC) that enforces United States federal securities law.</s> |
What is the Jones-Connally Act? | The Jones–Connally Act was a New Deal Initiative passed by Congress in April 1934 as an extension to the Agricultural Adjustment Act. Largely in response to the great drought of 1933–1934, cattle ranchers acted against their former opposition to the commodification of cattle and appealed to the government for assistance in ridding of themselves of the millions of cattle they could no longer afford to feed or to keep alive without a loss on return. | The Jones–Connally Act was passed by the US Congress in April 1934. It was an extension to the Agricultural Adjustment Act. It was part of the New Deal and was in response to the drought of 1933-1934. It made cattle a basic commodity giving the government authority over the distribution and processing of the cattle for public relief purposes. | summarization | ### Instruction: What is the Jones-Connally Act?
### Context: The Jones–Connally Act was a New Deal Initiative passed by Congress in April 1934 as an extension to the Agricultural Adjustment Act. Largely in response to the great drought of 1933–1934, cattle ranchers acted against their former opposition to the commodification of cattle and appealed to the government for assistance in ridding of themselves of the millions of cattle they could no longer afford to feed or to keep alive without a loss on return.
### Answer: The Jones–Connally Act was passed by the US Congress in April 1934. It was an extension to the Agricultural Adjustment Act. It was part of the New Deal and was in response to the drought of 1933-1934. It made cattle a basic commodity giving the government authority over the distribution and processing of the cattle for public relief purposes.</s> |
What is the Richland home | Richland is a historic home at Harwood, Anne Arundel County, Maryland. It is a 2+1⁄2-story, frame, hip-roofed dwelling of approximately 3,000 square feet (280 m2). It was constructed for gentleman farmer Robert Murray Cheston (1849–1904) and his wife, the former Mary Murray (1859–1943). It is the only known late-19th-century rural Anne Arundel County dwelling definitively associated with a specific architectural firm. The plans were prepared by the Roanoke, Virginia based architectural firm of Noland and de Saussure, founded by William C. Noland. The home reflects both the Colonial Revival and Queen Anne styles. The house on the 332 acre Richland farm was built in 1893. In the 1950s, the Cheston family subdivided the property and sold the house with approximately 58 acres to the Talliaferro family, and sold the remaining acreage to the Catterton family. The Talliaferro family named their new parcel "Thanksgiving Farm". In 1996, the Heimbuch family purchased Thanksgiving Farm from the Talliaferro family, began planting vineyards1998, completed a restoration of the house in 2004, and opened a winery on the property in 2006.
It was listed on the National Register of Historic Places in 2007. | Richland is a historic home at Harwood, Anne Arundel County, Maryland. It is a 2.5 story, frame, hip-roofed dwelling of approximately 3,000 square feet (280 m2). It was constructed for gentleman farmer Robert Murray Cheston (1849–1904) and his wife, the former Mary Murray (1859–1943).
It is the only known late-19th-century rural Anne Arundel County dwelling definitively associated with a specific architectural firm. The plans were prepared by the Roanoke, Virginia based architectural firm of Noland and de Saussure, founded by William C. Noland. The home reflects both the Colonial Revival and Queen Anne styles.
The house on the 332 acre Richland farm was built in 1893. In the 1950s, the Cheston family subdivided the property and sold the house with approximately 58 acres to the Talliaferro family, and sold the remaining acreage to the Catterton family. The Talliaferro family named their new parcel "Thanksgiving Farm". In 1996, the Heimbuch family purchased Thanksgiving Farm from the Talliaferro family, began planting vineyards1998, completed a restoration of the house in 2004, and opened a winery on the property in 2006.
It was listed on the National Register of Historic Places in 2007. | summarization | ### Instruction: What is the Richland home
### Context: Richland is a historic home at Harwood, Anne Arundel County, Maryland. It is a 2+1⁄2-story, frame, hip-roofed dwelling of approximately 3,000 square feet (280 m2). It was constructed for gentleman farmer Robert Murray Cheston (1849–1904) and his wife, the former Mary Murray (1859–1943). It is the only known late-19th-century rural Anne Arundel County dwelling definitively associated with a specific architectural firm. The plans were prepared by the Roanoke, Virginia based architectural firm of Noland and de Saussure, founded by William C. Noland. The home reflects both the Colonial Revival and Queen Anne styles. The house on the 332 acre Richland farm was built in 1893. In the 1950s, the Cheston family subdivided the property and sold the house with approximately 58 acres to the Talliaferro family, and sold the remaining acreage to the Catterton family. The Talliaferro family named their new parcel "Thanksgiving Farm". In 1996, the Heimbuch family purchased Thanksgiving Farm from the Talliaferro family, began planting vineyards1998, completed a restoration of the house in 2004, and opened a winery on the property in 2006.
It was listed on the National Register of Historic Places in 2007.
### Answer: Richland is a historic home at Harwood, Anne Arundel County, Maryland. It is a 2.5 story, frame, hip-roofed dwelling of approximately 3,000 square feet (280 m2). It was constructed for gentleman farmer Robert Murray Cheston (1849–1904) and his wife, the former Mary Murray (1859–1943).
It is the only known late-19th-century rural Anne Arundel County dwelling definitively associated with a specific architectural firm. The plans were prepared by the Roanoke, Virginia based architectural firm of Noland and de Saussure, founded by William C. Noland. The home reflects both the Colonial Revival and Queen Anne styles.
The house on the 332 acre Richland farm was built in 1893. In the 1950s, the Cheston family subdivided the property and sold the house with approximately 58 acres to the Talliaferro family, and sold the remaining acreage to the Catterton family. The Talliaferro family named their new parcel "Thanksgiving Farm". In 1996, the Heimbuch family purchased Thanksgiving Farm from the Talliaferro family, began planting vineyards1998, completed a restoration of the house in 2004, and opened a winery on the property in 2006.
It was listed on the National Register of Historic Places in 2007.</s> |
Who directed Terror Mountain, a American silent Western film? | Terror Mountain is a 1928 American silent Western film directed by Louis King and written by Frank Howard Clark and Helen Gregg. The film stars Tom Tyler, Jane Reid, Al Ferguson, Jules Cowles and Frankie Darro. The film was released on August 19, 1928, by Film Booking Offices of America. It was also released as Terror and Tom's Vacation. | Louis King is a director of the film. | summarization | ### Instruction: Who directed Terror Mountain, a American silent Western film?
### Context: Terror Mountain is a 1928 American silent Western film directed by Louis King and written by Frank Howard Clark and Helen Gregg. The film stars Tom Tyler, Jane Reid, Al Ferguson, Jules Cowles and Frankie Darro. The film was released on August 19, 1928, by Film Booking Offices of America. It was also released as Terror and Tom's Vacation.
### Answer: Louis King is a director of the film.</s> |
Summarize this paragraph | High rates of crime and violence in Latin America are undermining growth, threatening human welfare, and impeding social development, according to World Bank and the United Nations Office on Drugs and Crime (UNODC). According to the Financial Times, "The region registers close to 40 per cent of the world’s murders despite being home to only 9 per cent of the global population. According to Lapop, one in four Latin Americans was assaulted and robbed" in 2018. Latin America is caught in a vicious circle, where economic growth is thwarted by high crime rates, and insufficient economic opportunity contributes to high crime. Crime and violence thrives as the rule of law is weak, economic opportunity is scarce, and education is poor. Therefore, effectively addressing crime requires a holistic, multi-sectoral approach that addresses its root social, political, and economic causes.
Recent statistics indicate that crime is becoming the biggest problem in Latin America. Amnesty International has declared Latin America as the most dangerous region in the world for journalists to work.
In Mexico, armed gangs of rival drug smugglers have been fighting it out with one another, thus creating new hazards in rural areas. Crime is extremely high in all of the major cities in Brazil. Wealthy citizens have had to provide for their own security. In large parts of Rio de Janeiro, armed criminal gangs are said to be in control. Crime statistics were high in El Salvador, Guatemala and Venezuela during 1996. The police have not been able to handle the work load and the military have been called in to assist in these countries. There was a very distinct crime wave happening in Latin America. The city that currently topped the list of the world's most violent cities is San Pedro Sula in Honduras, leading various media sources to label it the "murder capital of the world." Colombia registered a homicide rate of 24.4 per 100,000 in 2016, the lowest since 1974. The 40-year low in murders came the same year that the Colombian government signed a peace agreement with the FARC.
Crime is slowing economic growth and undermining democratic consolidation in Latin America. Today, Latin America has the dubious distinction of being most violent region in the world, with combined crime rates more than triple the world average and are comparable to rates in nations experiencing war. This is taking a tremendous toll on development in the region by both affecting economic growth and public faith in democracy.
The Inter-American Development Bank estimates that Latin America's per capita Gross Domestic Product would be twenty-five percent higher if the region's crime rates were equal to the world average. Similarly, the World Bank has identified a strong correlation between crime and income inequality. Business associations in the region rank crime as the number one issue negatively affecting trade and investment. Crime-related violence also represents the most important threat to public health, striking more victims than HIV/AIDS or other infectious diseases. | Countries in Latin America are suffering from a high density of crime. This is thwarting their economic growth and undermining democratic consolidation. Such high rates of crime have been correlated with income inequality inherent in those regions. The solution to this situation lies in a multi-sectoral approach that addresses crime's root social, political, and economic causes. | summarization | ### Instruction: Summarize this paragraph
### Context: High rates of crime and violence in Latin America are undermining growth, threatening human welfare, and impeding social development, according to World Bank and the United Nations Office on Drugs and Crime (UNODC). According to the Financial Times, "The region registers close to 40 per cent of the world’s murders despite being home to only 9 per cent of the global population. According to Lapop, one in four Latin Americans was assaulted and robbed" in 2018. Latin America is caught in a vicious circle, where economic growth is thwarted by high crime rates, and insufficient economic opportunity contributes to high crime. Crime and violence thrives as the rule of law is weak, economic opportunity is scarce, and education is poor. Therefore, effectively addressing crime requires a holistic, multi-sectoral approach that addresses its root social, political, and economic causes.
Recent statistics indicate that crime is becoming the biggest problem in Latin America. Amnesty International has declared Latin America as the most dangerous region in the world for journalists to work.
In Mexico, armed gangs of rival drug smugglers have been fighting it out with one another, thus creating new hazards in rural areas. Crime is extremely high in all of the major cities in Brazil. Wealthy citizens have had to provide for their own security. In large parts of Rio de Janeiro, armed criminal gangs are said to be in control. Crime statistics were high in El Salvador, Guatemala and Venezuela during 1996. The police have not been able to handle the work load and the military have been called in to assist in these countries. There was a very distinct crime wave happening in Latin America. The city that currently topped the list of the world's most violent cities is San Pedro Sula in Honduras, leading various media sources to label it the "murder capital of the world." Colombia registered a homicide rate of 24.4 per 100,000 in 2016, the lowest since 1974. The 40-year low in murders came the same year that the Colombian government signed a peace agreement with the FARC.
Crime is slowing economic growth and undermining democratic consolidation in Latin America. Today, Latin America has the dubious distinction of being most violent region in the world, with combined crime rates more than triple the world average and are comparable to rates in nations experiencing war. This is taking a tremendous toll on development in the region by both affecting economic growth and public faith in democracy.
The Inter-American Development Bank estimates that Latin America's per capita Gross Domestic Product would be twenty-five percent higher if the region's crime rates were equal to the world average. Similarly, the World Bank has identified a strong correlation between crime and income inequality. Business associations in the region rank crime as the number one issue negatively affecting trade and investment. Crime-related violence also represents the most important threat to public health, striking more victims than HIV/AIDS or other infectious diseases.
### Answer: Countries in Latin America are suffering from a high density of crime. This is thwarting their economic growth and undermining democratic consolidation. Such high rates of crime have been correlated with income inequality inherent in those regions. The solution to this situation lies in a multi-sectoral approach that addresses crime's root social, political, and economic causes.</s> |
Why was Harry Potter famous in the wizarding world? | Harry Potter lives with his abusive aunt and uncle, Vernon and Petunia Dursley, and their bullying son, Dudley. On Harry's eleventh birthday, a half-giant named Rubeus Hagrid personally delivers an acceptance letter to Hogwarts School of Witchcraft and Wizardry, revealing that Harry's parents, James and Lily Potter, were wizards. When Harry was one year old, an evil and powerful dark wizard, Lord Voldemort, murdered his parents. Harry survived Voldemort's killing curse that rebounded and seemingly destroyed the Dark Lord, leaving a lightning bolt-shaped scar on his forehead. Unknown to Harry, this act made him famous in the wizarding world. | Harry Potter survived the killing curse of a powerful dark wizard - Lord Voldemort. | summarization | ### Instruction: Why was Harry Potter famous in the wizarding world?
### Context: Harry Potter lives with his abusive aunt and uncle, Vernon and Petunia Dursley, and their bullying son, Dudley. On Harry's eleventh birthday, a half-giant named Rubeus Hagrid personally delivers an acceptance letter to Hogwarts School of Witchcraft and Wizardry, revealing that Harry's parents, James and Lily Potter, were wizards. When Harry was one year old, an evil and powerful dark wizard, Lord Voldemort, murdered his parents. Harry survived Voldemort's killing curse that rebounded and seemingly destroyed the Dark Lord, leaving a lightning bolt-shaped scar on his forehead. Unknown to Harry, this act made him famous in the wizarding world.
### Answer: Harry Potter survived the killing curse of a powerful dark wizard - Lord Voldemort.</s> |
List down some points about life of cricketer Peggy Antonio from the given passage | Peggy Antonio (2 June 1917 – 11 January 2002, Melbourne, Australia) was an Australian women's Test cricketer, known as the "Girl Grimmett".
Antonio was raised in Port Melbourne, Victoria, a working class suburb of Melbourne. Her father was a Chilean docker of French and Spanish descent who died when she was 15 months. With the encouragement of her uncle she learnt her cricket from the boys in her neighbourhood streets. As a young girl during the Great Depression, she was lucky enough to find work at a shoe factory in the industrial suburb of Collingwood. The factory was home to a women's cricket team where Antonio came to the attention of Eddie Conlon, a club cricketer with an encyclopaedic knowledge of the game. With the assistance of Conlon, Antonio developed a rare mix of leg spin and off spin, including a top spinner and a wrong'un. | 1. Peggy Antonio, also referred to as the "Girl Grimmett," played women's Test cricket for Australia and died on January 11, 2002, in Melbourne, Australia.
2. Antonio grew up in the working-class Melbourne district of Port Melbourne, Victoria.
3. When she was 15 months old, her father, a Chilean docker of French and Spanish ancestry, passed away.
4. With her uncle's encouragement, she picked up cricket from the guys on the streets of her area.
5. She was fortunate enough to work at a shoe factory in the Collingwood industrial area during the Great Depression as a young child.
6. Eddie Conlon, a club cricketer with encyclopaedic knowledge of the game, saw Antonio when he was playing for the women's cricket team at the factory.
7. With Conlon's help, Antonio created an uncommon combination of leg spin and off spin, including a top spinner and a wrong'un. | summarization | ### Instruction: List down some points about life of cricketer Peggy Antonio from the given passage
### Context: Peggy Antonio (2 June 1917 – 11 January 2002, Melbourne, Australia) was an Australian women's Test cricketer, known as the "Girl Grimmett".
Antonio was raised in Port Melbourne, Victoria, a working class suburb of Melbourne. Her father was a Chilean docker of French and Spanish descent who died when she was 15 months. With the encouragement of her uncle she learnt her cricket from the boys in her neighbourhood streets. As a young girl during the Great Depression, she was lucky enough to find work at a shoe factory in the industrial suburb of Collingwood. The factory was home to a women's cricket team where Antonio came to the attention of Eddie Conlon, a club cricketer with an encyclopaedic knowledge of the game. With the assistance of Conlon, Antonio developed a rare mix of leg spin and off spin, including a top spinner and a wrong'un.
### Answer: 1. Peggy Antonio, also referred to as the "Girl Grimmett," played women's Test cricket for Australia and died on January 11, 2002, in Melbourne, Australia.
2. Antonio grew up in the working-class Melbourne district of Port Melbourne, Victoria.
3. When she was 15 months old, her father, a Chilean docker of French and Spanish ancestry, passed away.
4. With her uncle's encouragement, she picked up cricket from the guys on the streets of her area.
5. She was fortunate enough to work at a shoe factory in the Collingwood industrial area during the Great Depression as a young child.
6. Eddie Conlon, a club cricketer with encyclopaedic knowledge of the game, saw Antonio when he was playing for the women's cricket team at the factory.
7. With Conlon's help, Antonio created an uncommon combination of leg spin and off spin, including a top spinner and a wrong'un.</s> |