instruction
stringlengths 11
1.38k
| context
stringlengths 3
23.5k
| response
stringlengths 14
26k
| category
stringclasses 1
value | text
stringlengths 212
27.4k
|
---|---|---|---|---|
What kind of college is the Alpha Eta Rho | Alpha Eta Rho (ΑΗΡ) is a coed international professional college aviation fraternity that serves as a contact between the aviation industry and educational institutions. The fraternity strives to foster, promote, and mentor today's college students towards successful careers in aviation, aeronautical engineering, and aerospace sciences. Alpha Eta Rho serves to actively associate interested students of aviation with leaders and executives in the industry. This close association, strengthened through the bonds of an international aviation fraternity, establishes opportunities for all members in their relation to aviation and inspires interest and cooperation among those in the profession who are also members of Alpha Eta Rho.
Established in 1929, it is the oldest professional aviation fraternity in history. Alpha Eta Rho has had over one hundred thirty five chapters both domestically and internationally. The Eta chapter at San Jose State University is the oldest active chapter, being founded on April 27, 1940. Currently over seventy chapters are active on campuses throughout the United States. The alumni of the fraternity are found in all facets of the aviation industry and related management fields. These include airline captains, military aviation flag officers, corporate CEOs, NASA engineers, flight attendants, aircraft mechanics, aviation museum directors, aerospace engineers, and pilots. There are currently 42 active chapters at colleges and universities, and over 45,000 alumni. Alpha Eta Rho accepts over 1,000 new members each year.
Scholarships are available to active members on a yearly basis.
Alpha Eta Rho is incorporated in the state of Missouri, and is a non-hazing organization. | The Alpha Eta Rho (ΑΗΡ) is a coed international professional college aviation fraternity that serves as a contact between the aviation industry and educational institutions. The fraternity strives to foster, promote, and mentor today's college students towards successful careers in aviation, aeronautical engineering, and aerospace sciences. Alpha Eta Rho serves to actively associate interested students of aviation with leaders and executives in the industry. This close association, strengthened through the bonds of an international aviation fraternity, establishes opportunities for all members in their relation to aviation and inspires interest and cooperation among those in the profession who are also members of Alpha Eta Rho.
Established in 1929, it is the oldest professional aviation fraternity in history. Alpha Eta Rho has had over one hundred thirty five chapters both domestically and internationally. The Eta chapter at San Jose State University is the oldest active chapter, being founded on April 27, 1940. Currently over seventy chapters are active on campuses throughout the United States. The alumni of the fraternity are found in all facets of the aviation industry and related management fields. These include airline captains, military aviation flag officers, corporate CEOs, NASA engineers, flight attendants, aircraft mechanics, aviation museum directors, aerospace engineers, and pilots. There are currently 42 active chapters at colleges and universities, and over 45,000 alumni. Alpha Eta Rho accepts over 1,000 new members each year.
Scholarships are available to active members on a yearly basis.
Alpha Eta Rho is incorporated in the state of Missouri, and is a non-hazing organization. | summarization | ### Instruction: What kind of college is the Alpha Eta Rho
### Context: Alpha Eta Rho (ΑΗΡ) is a coed international professional college aviation fraternity that serves as a contact between the aviation industry and educational institutions. The fraternity strives to foster, promote, and mentor today's college students towards successful careers in aviation, aeronautical engineering, and aerospace sciences. Alpha Eta Rho serves to actively associate interested students of aviation with leaders and executives in the industry. This close association, strengthened through the bonds of an international aviation fraternity, establishes opportunities for all members in their relation to aviation and inspires interest and cooperation among those in the profession who are also members of Alpha Eta Rho.
Established in 1929, it is the oldest professional aviation fraternity in history. Alpha Eta Rho has had over one hundred thirty five chapters both domestically and internationally. The Eta chapter at San Jose State University is the oldest active chapter, being founded on April 27, 1940. Currently over seventy chapters are active on campuses throughout the United States. The alumni of the fraternity are found in all facets of the aviation industry and related management fields. These include airline captains, military aviation flag officers, corporate CEOs, NASA engineers, flight attendants, aircraft mechanics, aviation museum directors, aerospace engineers, and pilots. There are currently 42 active chapters at colleges and universities, and over 45,000 alumni. Alpha Eta Rho accepts over 1,000 new members each year.
Scholarships are available to active members on a yearly basis.
Alpha Eta Rho is incorporated in the state of Missouri, and is a non-hazing organization.
### Answer: The Alpha Eta Rho (ΑΗΡ) is a coed international professional college aviation fraternity that serves as a contact between the aviation industry and educational institutions. The fraternity strives to foster, promote, and mentor today's college students towards successful careers in aviation, aeronautical engineering, and aerospace sciences. Alpha Eta Rho serves to actively associate interested students of aviation with leaders and executives in the industry. This close association, strengthened through the bonds of an international aviation fraternity, establishes opportunities for all members in their relation to aviation and inspires interest and cooperation among those in the profession who are also members of Alpha Eta Rho.
Established in 1929, it is the oldest professional aviation fraternity in history. Alpha Eta Rho has had over one hundred thirty five chapters both domestically and internationally. The Eta chapter at San Jose State University is the oldest active chapter, being founded on April 27, 1940. Currently over seventy chapters are active on campuses throughout the United States. The alumni of the fraternity are found in all facets of the aviation industry and related management fields. These include airline captains, military aviation flag officers, corporate CEOs, NASA engineers, flight attendants, aircraft mechanics, aviation museum directors, aerospace engineers, and pilots. There are currently 42 active chapters at colleges and universities, and over 45,000 alumni. Alpha Eta Rho accepts over 1,000 new members each year.
Scholarships are available to active members on a yearly basis.
Alpha Eta Rho is incorporated in the state of Missouri, and is a non-hazing organization.</s> |
How many seasons is Deadwood? | Deadwood is an American Western television series that aired on the premium cable network HBO from March 21, 2004, to August 27, 2006, spanning three seasons and 36 episodes. The series is set in the 1870s in Deadwood, South Dakota, before and after the area's annexation by the Dakota Territory, and charts Deadwood's growth from camp to town. The show was created, produced, and largely written by David Milch. Deadwood features a large ensemble cast headed by Timothy Olyphant and Ian McShane, playing the real-life Deadwood residents Seth Bullock and Al Swearengen, respectively. Many other historical figures appear as characters, including George Crook, Wyatt Earp, E. B. Farnum, George Hearst, Wild Bill Hickok, Calamity Jane, Sol Star, A. W. Merrick, Jack McCall, and Charlie Utter. The plot lines involving these characters include historical truths as well as substantial fictional elements. Milch used actual diaries and newspapers from 1870s Deadwood residents as reference points for characters, events, and the look and feel of the show. | Deadwood has three seasons and 36 episodes. | summarization | ### Instruction: How many seasons is Deadwood?
### Context: Deadwood is an American Western television series that aired on the premium cable network HBO from March 21, 2004, to August 27, 2006, spanning three seasons and 36 episodes. The series is set in the 1870s in Deadwood, South Dakota, before and after the area's annexation by the Dakota Territory, and charts Deadwood's growth from camp to town. The show was created, produced, and largely written by David Milch. Deadwood features a large ensemble cast headed by Timothy Olyphant and Ian McShane, playing the real-life Deadwood residents Seth Bullock and Al Swearengen, respectively. Many other historical figures appear as characters, including George Crook, Wyatt Earp, E. B. Farnum, George Hearst, Wild Bill Hickok, Calamity Jane, Sol Star, A. W. Merrick, Jack McCall, and Charlie Utter. The plot lines involving these characters include historical truths as well as substantial fictional elements. Milch used actual diaries and newspapers from 1870s Deadwood residents as reference points for characters, events, and the look and feel of the show.
### Answer: Deadwood has three seasons and 36 episodes.</s> |
With reference to the text given, list some details about lung cancer | Lung cancer, also known as lung carcinoma, is a malignant tumor that begins in the lung. Lung cancers are caused by genetic damage to the DNA of cells in the airways, often exacerbated by cigarette smoking, or inhaling damaging chemicals. Damaged airway cells sometimes gain the ability to proliferate unchecked, causing the growth of a tumor. Without treatment, lung tumors can spread throughout the lung, damaging lung function. Eventually lung tumors metastasize, spreading to distant parts of the body, and causing varying disease. Lung cancers are classified based on the cells they originate from. Around 15% are small-cell lung cancers, while the remaining 85% (the non-small-cell lung cancers) are adenocarcinomas, squamous-cell carcinomas, and large-cell carcinomas. | 1. Lung cancer, sometimes referred to as lung carcinoma, is a cancerous tumour that starts in the lung.
2. Smoking cigarettes or inhaling toxic chemicals can aggravate genetic damage to the DNA of cells in the airways, which is what causes lung cancer.
3. In some cases, damaged airway cells acquire the capacity to proliferate unchecked, leading to the development of a tumour.
4. Lung tumours can spread throughout the lung if left untreated, impairing lung function.
5. Lung tumours eventually spread to other areas of the body and develop metastases, which lead to a variety of diseases.
6. The cells from which lung tumours develop are used to categorise them.
7. Adenocarcinomas, squamous-cell carcinomas, and large-cell carcinomas make up the majority of non-small-cell lung malignancies, which account for the remaining 15% of cases. | summarization | ### Instruction: With reference to the text given, list some details about lung cancer
### Context: Lung cancer, also known as lung carcinoma, is a malignant tumor that begins in the lung. Lung cancers are caused by genetic damage to the DNA of cells in the airways, often exacerbated by cigarette smoking, or inhaling damaging chemicals. Damaged airway cells sometimes gain the ability to proliferate unchecked, causing the growth of a tumor. Without treatment, lung tumors can spread throughout the lung, damaging lung function. Eventually lung tumors metastasize, spreading to distant parts of the body, and causing varying disease. Lung cancers are classified based on the cells they originate from. Around 15% are small-cell lung cancers, while the remaining 85% (the non-small-cell lung cancers) are adenocarcinomas, squamous-cell carcinomas, and large-cell carcinomas.
### Answer: 1. Lung cancer, sometimes referred to as lung carcinoma, is a cancerous tumour that starts in the lung.
2. Smoking cigarettes or inhaling toxic chemicals can aggravate genetic damage to the DNA of cells in the airways, which is what causes lung cancer.
3. In some cases, damaged airway cells acquire the capacity to proliferate unchecked, leading to the development of a tumour.
4. Lung tumours can spread throughout the lung if left untreated, impairing lung function.
5. Lung tumours eventually spread to other areas of the body and develop metastases, which lead to a variety of diseases.
6. The cells from which lung tumours develop are used to categorise them.
7. Adenocarcinomas, squamous-cell carcinomas, and large-cell carcinomas make up the majority of non-small-cell lung malignancies, which account for the remaining 15% of cases.</s> |
Who was Alexander Greek Thomson | Alexander "Greek" Thomson (9 April 1817 – 22 March 1875) was an eminent Scottish architect and architectural theorist who was a pioneer in sustainable building. Although his work was published in the architectural press of his day, it was little appreciated outside Glasgow during his lifetime. It has only been since the 1950s and 1960s that his critical reputation has revived—not least of all in connection with his probable influence on Frank Lloyd Wright.
Henry-Russell Hitchcock wrote of Thomson in 1966: "Glasgow in the last 150 years has had two of the greatest architects of the Western world. C. R. Mackintosh was not highly productive but his influence in central Europe was comparable to such American architects as Louis Sullivan and Frank Lloyd Wright. An even greater and happily more productive architect, though one whose influence can only occasionally be traced in America in Milwaukee and in New York City and not at all as far as I know in Europe, was Alexander Thomson". | Alexander Greek Thomson (9 April 1817 – 22 March 1875) was an eminent Scottish architect and architectural theorist who was a pioneer in sustainable building. Although his work was published in the architectural press of his day, it was little appreciated outside Glasgow during his lifetime. It has only been since the 1950s and 1960s that his critical reputation has revived—not least of all in connection with his probable influence on Frank Lloyd Wright.
Henry-Russell Hitchcock wrote of Thomson in 1966: "Glasgow in the last 150 years has had two of the greatest architects of the Western world. C. R. Mackintosh was not highly productive but his influence in central Europe was comparable to such American architects as Louis Sullivan and Frank Lloyd Wright. An even greater and happily more productive architect, though one whose influence can only occasionally be traced in America in Milwaukee and in New York City and not at all as far as I know in Europe, was Alexander Thomson". | summarization | ### Instruction: Who was Alexander Greek Thomson
### Context: Alexander "Greek" Thomson (9 April 1817 – 22 March 1875) was an eminent Scottish architect and architectural theorist who was a pioneer in sustainable building. Although his work was published in the architectural press of his day, it was little appreciated outside Glasgow during his lifetime. It has only been since the 1950s and 1960s that his critical reputation has revived—not least of all in connection with his probable influence on Frank Lloyd Wright.
Henry-Russell Hitchcock wrote of Thomson in 1966: "Glasgow in the last 150 years has had two of the greatest architects of the Western world. C. R. Mackintosh was not highly productive but his influence in central Europe was comparable to such American architects as Louis Sullivan and Frank Lloyd Wright. An even greater and happily more productive architect, though one whose influence can only occasionally be traced in America in Milwaukee and in New York City and not at all as far as I know in Europe, was Alexander Thomson".
### Answer: Alexander Greek Thomson (9 April 1817 – 22 March 1875) was an eminent Scottish architect and architectural theorist who was a pioneer in sustainable building. Although his work was published in the architectural press of his day, it was little appreciated outside Glasgow during his lifetime. It has only been since the 1950s and 1960s that his critical reputation has revived—not least of all in connection with his probable influence on Frank Lloyd Wright.
Henry-Russell Hitchcock wrote of Thomson in 1966: "Glasgow in the last 150 years has had two of the greatest architects of the Western world. C. R. Mackintosh was not highly productive but his influence in central Europe was comparable to such American architects as Louis Sullivan and Frank Lloyd Wright. An even greater and happily more productive architect, though one whose influence can only occasionally be traced in America in Milwaukee and in New York City and not at all as far as I know in Europe, was Alexander Thomson".</s> |
What are the main two ways players score in the Princeton offense? | The Princeton offense is an offensive basketball strategy which emphasizes constant motion, back-door cuts, picks on and off the ball, and disciplined teamwork. It was used and perfected at Princeton University by Pete Carril, though its roots may be traced back to Franklin “Cappy” Cappon, who coached Princeton in the late 1930s, and Bernard "Red" Sarachek, who coached at Yeshiva University from 1938 to 1977.
The offense is designed for a unit of five players who can each pass, shoot, and dribble at an above-average level. These players hope to isolate and exploit a mismatch using these skills. Positions become less important and on offense there is no point guard, shooting guard, small forward or power forward. However, there are certain rules that players running this offense are expected to follow.
The offense usually starts out with four players outside the three-point arc with one player at the top of the key. The ball is kept in constant motion through passing until either a player without the ball cuts toward the unoccupied area under and around the basket, and is passed the ball for a layup. The post player is a very important player in the offense. He sets up in the high post and draws attention to his positioning. When the ball is received in to the post the players main objective is to find back door cutters or defenders who have fallen asleep on the weak side.
The hallmark of the offense is the backdoor pass, where a player on the wing suddenly moves in towards the basket, receives a bounce pass from a guard on the perimeter, and (if done correctly) finds himself with no defenders between him and a layup. Alternatively, when the defensive team attempts to pack the paint to prevent backdoor cuts, the offense utilizes three point shots from the perimeter. All five players in the offense—including the center—should be competent at making a three-point attempt, further spreading the floor, and not allowing the defense to leave any player unattended.
The offense is often a very slowly developing one, relying on a high number of passes, and is often used in college basketball by teams facing opponents with superior athletic talent in order to maintain a low-scoring game (believing that a high-scoring game would favor the athletically superior opponent). As a result, Princeton has led the nation in scoring defense 19 times including in every year from 1989 to 2000. | The first way to score in the Princeton offense is by utilizing the backdoor pass. A backdoor pass is when someone on the wing suddenly cuts towards the basket and is passed the ball for an uncontested layup. If the defense tries to stop these backdoor passes, the other way to score is to make three point shots from the perimeter. | summarization | ### Instruction: What are the main two ways players score in the Princeton offense?
### Context: The Princeton offense is an offensive basketball strategy which emphasizes constant motion, back-door cuts, picks on and off the ball, and disciplined teamwork. It was used and perfected at Princeton University by Pete Carril, though its roots may be traced back to Franklin “Cappy” Cappon, who coached Princeton in the late 1930s, and Bernard "Red" Sarachek, who coached at Yeshiva University from 1938 to 1977.
The offense is designed for a unit of five players who can each pass, shoot, and dribble at an above-average level. These players hope to isolate and exploit a mismatch using these skills. Positions become less important and on offense there is no point guard, shooting guard, small forward or power forward. However, there are certain rules that players running this offense are expected to follow.
The offense usually starts out with four players outside the three-point arc with one player at the top of the key. The ball is kept in constant motion through passing until either a player without the ball cuts toward the unoccupied area under and around the basket, and is passed the ball for a layup. The post player is a very important player in the offense. He sets up in the high post and draws attention to his positioning. When the ball is received in to the post the players main objective is to find back door cutters or defenders who have fallen asleep on the weak side.
The hallmark of the offense is the backdoor pass, where a player on the wing suddenly moves in towards the basket, receives a bounce pass from a guard on the perimeter, and (if done correctly) finds himself with no defenders between him and a layup. Alternatively, when the defensive team attempts to pack the paint to prevent backdoor cuts, the offense utilizes three point shots from the perimeter. All five players in the offense—including the center—should be competent at making a three-point attempt, further spreading the floor, and not allowing the defense to leave any player unattended.
The offense is often a very slowly developing one, relying on a high number of passes, and is often used in college basketball by teams facing opponents with superior athletic talent in order to maintain a low-scoring game (believing that a high-scoring game would favor the athletically superior opponent). As a result, Princeton has led the nation in scoring defense 19 times including in every year from 1989 to 2000.
### Answer: The first way to score in the Princeton offense is by utilizing the backdoor pass. A backdoor pass is when someone on the wing suddenly cuts towards the basket and is passed the ball for an uncontested layup. If the defense tries to stop these backdoor passes, the other way to score is to make three point shots from the perimeter.</s> |
Please give me a summary of what AES-GCM is and what are its inputs and outputs. | In cryptography, Galois/Counter Mode (GCM) is a mode of operation for symmetric-key cryptographic block ciphers which is widely adopted for its performance. GCM throughput rates for state-of-the-art, high-speed communication channels can be achieved with inexpensive hardware resources.
The GCM algorithm provides both data authenticity (integrity) and confidentiality and belongs to the class of authenticated encryption with associated data (AEAD) methods. This means that as input it takes a key K, some plaintext P, and some associated data AD; it then encrypts the plaintext using the key to produce ciphertext C, and computes an authentication tag T from the ciphertext and the associated data (which remains unencrypted). A recipient with knowledge of K, upon reception of AD, C and T, can decrypt the ciphertext to recover the plaintext P and can check the tag T to ensure that neither ciphertext nor associated data were tampered with. | AES-GCM is a mode of operation for symmetric-key cryptography. It stands for Galois/Counter Mode and is an authenticated block cipher that provides integrity and authenticity on top of confidentiality. It accepts as input a key K, a plaintest P and associated data AD, and it produces as output the ciphertext C and an authentication tag T. | summarization | ### Instruction: Please give me a summary of what AES-GCM is and what are its inputs and outputs.
### Context: In cryptography, Galois/Counter Mode (GCM) is a mode of operation for symmetric-key cryptographic block ciphers which is widely adopted for its performance. GCM throughput rates for state-of-the-art, high-speed communication channels can be achieved with inexpensive hardware resources.
The GCM algorithm provides both data authenticity (integrity) and confidentiality and belongs to the class of authenticated encryption with associated data (AEAD) methods. This means that as input it takes a key K, some plaintext P, and some associated data AD; it then encrypts the plaintext using the key to produce ciphertext C, and computes an authentication tag T from the ciphertext and the associated data (which remains unencrypted). A recipient with knowledge of K, upon reception of AD, C and T, can decrypt the ciphertext to recover the plaintext P and can check the tag T to ensure that neither ciphertext nor associated data were tampered with.
### Answer: AES-GCM is a mode of operation for symmetric-key cryptography. It stands for Galois/Counter Mode and is an authenticated block cipher that provides integrity and authenticity on top of confidentiality. It accepts as input a key K, a plaintest P and associated data AD, and it produces as output the ciphertext C and an authentication tag T.</s> |
Who is the main character of Naruto? | Naruto is a Japanese manga series written and illustrated by Masashi Kishimoto. It tells the story of Naruto Uzumaki, a young ninja who seeks recognition from his peers and dreams of becoming the Hokage, the leader of his village. The story is told in two parts—the first set in Naruto's pre-teen years, and the second in his teens. The series is based on two one-shot manga by Kishimoto: Karakuri (1995), which earned Kishimoto an honorable mention in Shueisha's monthly Hop Step Award the following year, and Naruto (1997). | The main character of Naruto is Naruto Uzumaki, a shinobi of the Hidden Leaf Village. His dream in life is to become the Hokage, the strongest ninja in his village. However, he never achieves this, and dies in his battle again Pain, the leader of the Akatsuki, after attempting to avenge his mentor's death. He is then revived by Obito Uchiha using the rinnegan's powers, which can trade the user's life for another's. Naruto then returns to Pain and uses his infamous talk-no-jutsu to convince Pain to stop being evil, which succeeds. | summarization | ### Instruction: Who is the main character of Naruto?
### Context: Naruto is a Japanese manga series written and illustrated by Masashi Kishimoto. It tells the story of Naruto Uzumaki, a young ninja who seeks recognition from his peers and dreams of becoming the Hokage, the leader of his village. The story is told in two parts—the first set in Naruto's pre-teen years, and the second in his teens. The series is based on two one-shot manga by Kishimoto: Karakuri (1995), which earned Kishimoto an honorable mention in Shueisha's monthly Hop Step Award the following year, and Naruto (1997).
### Answer: The main character of Naruto is Naruto Uzumaki, a shinobi of the Hidden Leaf Village. His dream in life is to become the Hokage, the strongest ninja in his village. However, he never achieves this, and dies in his battle again Pain, the leader of the Akatsuki, after attempting to avenge his mentor's death. He is then revived by Obito Uchiha using the rinnegan's powers, which can trade the user's life for another's. Naruto then returns to Pain and uses his infamous talk-no-jutsu to convince Pain to stop being evil, which succeeds.</s> |
Based on the text, please give a bulleted list of Marc Andreessen’s accomplishments | Marc Lowell Andreessen (/ænˈdriːsən/ ann-DREE-sən; born July 9, 1971) is an American entrepreneur, venture capital investor, and software engineer. He is the co-author of Mosaic, the first widely used web browser with a graphical user interface; co-founder of Netscape; and co-founder and general partner of Silicon Valley venture capital firm Andreessen Horowitz. He co-founded and later sold the software company Opsware to Hewlett-Packard. Andreessen is also a co-founder of Ning, a company that provides a platform for social networking websites. He sits on the board of directors of Meta Platforms. Andreessen was one of six inductees in the World Wide Web Hall of Fame announced at the First International Conference on the World-Wide Web in 1994. As of February 2023, his net-worth is estimated at $1.7 billion by Forbes. | Co-author of the first widely used web browser with a graphical user interface (Mosaic)
Co-founder of Netscape
Co-founder of Andreessen Horowitz
Co-founder of Opsware
Co-founder of Ning
Board member of Meta Platforms
Inductee in the World Wide Web Hall of Fame | summarization | ### Instruction: Based on the text, please give a bulleted list of Marc Andreessen’s accomplishments
### Context: Marc Lowell Andreessen (/ænˈdriːsən/ ann-DREE-sən; born July 9, 1971) is an American entrepreneur, venture capital investor, and software engineer. He is the co-author of Mosaic, the first widely used web browser with a graphical user interface; co-founder of Netscape; and co-founder and general partner of Silicon Valley venture capital firm Andreessen Horowitz. He co-founded and later sold the software company Opsware to Hewlett-Packard. Andreessen is also a co-founder of Ning, a company that provides a platform for social networking websites. He sits on the board of directors of Meta Platforms. Andreessen was one of six inductees in the World Wide Web Hall of Fame announced at the First International Conference on the World-Wide Web in 1994. As of February 2023, his net-worth is estimated at $1.7 billion by Forbes.
### Answer: Co-author of the first widely used web browser with a graphical user interface (Mosaic)
Co-founder of Netscape
Co-founder of Andreessen Horowitz
Co-founder of Opsware
Co-founder of Ning
Board member of Meta Platforms
Inductee in the World Wide Web Hall of Fame</s> |
Which trophies have West Ham won? | West Ham have been winners of the FA Cup three times (1964, 1975 and 1980) and runners-up twice (1923 and 2006). The club have reached two major European finals, winning the European Cup Winners' Cup in 1965 and finishing runners-up in the same competition in 1976. West Ham also won the Intertoto Cup in 1999. They are one of eight clubs never to have fallen below the second tier of English football, spending 63 of 95 league seasons in the top flight, up to and including the 2020–21 season. The club's highest league position to date came in 1985–86, when they achieved third place in the then First Division. | West Ham won the FA Cup in 1964, 1975 and 1980. They won the European Cup Winner's Cup in 1965 and the Intertoto cup in 1999. | summarization | ### Instruction: Which trophies have West Ham won?
### Context: West Ham have been winners of the FA Cup three times (1964, 1975 and 1980) and runners-up twice (1923 and 2006). The club have reached two major European finals, winning the European Cup Winners' Cup in 1965 and finishing runners-up in the same competition in 1976. West Ham also won the Intertoto Cup in 1999. They are one of eight clubs never to have fallen below the second tier of English football, spending 63 of 95 league seasons in the top flight, up to and including the 2020–21 season. The club's highest league position to date came in 1985–86, when they achieved third place in the then First Division.
### Answer: West Ham won the FA Cup in 1964, 1975 and 1980. They won the European Cup Winner's Cup in 1965 and the Intertoto cup in 1999.</s> |
Is Parsenn nice for skiing | Parsenn is a ski area near Davos, Switzerland, offering 35 ski runs.
The Parsenn area is the largest and most modern of Davos' five mountains.
The recently updated Parsenn "red railway" funicular covers the difference of 1,100 metres (3,609 ft) up to the Weissfluhjoch ridge. One can also get from Klosters to Gotschna/Parsenn with a large cable car which runs from here run up to 17 kilometres (10.6 mi) into the Prättigau valley. | Parsenn is a ski area near Davos, Switzerland, offering 35 ski runs. The Parsenn area is the largest and most modern of Davos' five mountains and is considered as very nice. | summarization | ### Instruction: Is Parsenn nice for skiing
### Context: Parsenn is a ski area near Davos, Switzerland, offering 35 ski runs.
The Parsenn area is the largest and most modern of Davos' five mountains.
The recently updated Parsenn "red railway" funicular covers the difference of 1,100 metres (3,609 ft) up to the Weissfluhjoch ridge. One can also get from Klosters to Gotschna/Parsenn with a large cable car which runs from here run up to 17 kilometres (10.6 mi) into the Prättigau valley.
### Answer: Parsenn is a ski area near Davos, Switzerland, offering 35 ski runs. The Parsenn area is the largest and most modern of Davos' five mountains and is considered as very nice.</s> |
What are the potential source of energy for an engine? | An engine or motor is a machine designed to convert one or more forms of energy into mechanical energy.
Available energy sources include potential energy (e.g. energy of the Earth's gravitational field as exploited in hydroelectric power generation), heat energy (e.g. geothermal), chemical energy, electric potential and nuclear energy (from nuclear fission or nuclear fusion). Many of these processes generate heat as an intermediate energy form, so heat engines have special importance. Some natural processes, such as atmospheric convection cells convert environmental heat into motion (e.g. in the form of rising air currents). Mechanical energy is of particular importance in transportation, but also plays a role in many industrial processes such as cutting, grinding, crushing, and mixing. | Potential sources of an engine includes potential energy, heat energy chemical energy, electrical energy and nuclear energy. | summarization | ### Instruction: What are the potential source of energy for an engine?
### Context: An engine or motor is a machine designed to convert one or more forms of energy into mechanical energy.
Available energy sources include potential energy (e.g. energy of the Earth's gravitational field as exploited in hydroelectric power generation), heat energy (e.g. geothermal), chemical energy, electric potential and nuclear energy (from nuclear fission or nuclear fusion). Many of these processes generate heat as an intermediate energy form, so heat engines have special importance. Some natural processes, such as atmospheric convection cells convert environmental heat into motion (e.g. in the form of rising air currents). Mechanical energy is of particular importance in transportation, but also plays a role in many industrial processes such as cutting, grinding, crushing, and mixing.
### Answer: Potential sources of an engine includes potential energy, heat energy chemical energy, electrical energy and nuclear energy.</s> |
What are some defining qualities of authoritarianism? | Authoritarianism is a political system characterized by the rejection of political plurality, the use of strong central power to preserve the political status quo, and reductions in the rule of law, separation of powers, and democratic voting. Political scientists have created many typologies describing variations of authoritarian forms of government. Authoritarian regimes may be either autocratic or oligarchic and may be based upon the rule of a party or the military. States that have a blurred boundary between democracy and authoritarianism have some times been characterized as "hybrid democracies", "hybrid regimes" or "competitive authoritarian" states.
The political scientist Juan Linz, in an influential 1964 work, An Authoritarian Regime: Spain, defined authoritarianism as possessing four qualities:
Limited political pluralism, is realized with constraints on the legislature, political parties and interest groups.
Political legitimacy is based upon appeals to emotion and identification of the regime as a necessary evil to combat "easily recognizable societal problems, such as underdevelopment or insurgency."
Minimal political mobilization, and suppression of anti-regime activities.
Ill-defined executive powers, often vague and shifting extend the power of the executive.
Minimally defined, an authoritarian government lacks free and competitive direct elections to legislatures, free and competitive direct or indirect elections for executives, or both. Broadly defined, authoritarian states include countries that lack civil liberties such as freedom of religion, or countries in which the government and the opposition do not alternate in power at least once following free elections. Authoritarian states might contain nominally democratic institutions such as political parties, legislatures and elections which are managed to entrench authoritarian rule and can feature fraudulent, non-competitive elections. In contexts of democratic backsliding, scholars tend to identify authoritarian political leaders based on certain tactics, such as: politicizing independent institutions, spreading disinformation, aggrandizing executive power, quashing dissent, targeting vulnerable communities, stoking violence, and corrupting elections. Since 1946, the share of authoritarian states in the international political system increased until the mid-1970s but declined from then until the year 2000. | 1. Limited political pluralism or outright rejection of political pluralism.
2. Lack of civil liberties
3. Lack of free, fair and competitive elections
4. So-called democratic institutions corrupted by authoritarian rule
5. Use of election tactics such as spreading misinformation, politicizing independent institutions, quashing dissent, engaging in culture wars, targeting vulnerable communities, stoking violence, and aggrandizing executive power.
6. Use of a strong central power to preserve the political status quo at the cost of basic democratic ideals such as the rule of law, separation of powers, and voting rights. | summarization | ### Instruction: What are some defining qualities of authoritarianism?
### Context: Authoritarianism is a political system characterized by the rejection of political plurality, the use of strong central power to preserve the political status quo, and reductions in the rule of law, separation of powers, and democratic voting. Political scientists have created many typologies describing variations of authoritarian forms of government. Authoritarian regimes may be either autocratic or oligarchic and may be based upon the rule of a party or the military. States that have a blurred boundary between democracy and authoritarianism have some times been characterized as "hybrid democracies", "hybrid regimes" or "competitive authoritarian" states.
The political scientist Juan Linz, in an influential 1964 work, An Authoritarian Regime: Spain, defined authoritarianism as possessing four qualities:
Limited political pluralism, is realized with constraints on the legislature, political parties and interest groups.
Political legitimacy is based upon appeals to emotion and identification of the regime as a necessary evil to combat "easily recognizable societal problems, such as underdevelopment or insurgency."
Minimal political mobilization, and suppression of anti-regime activities.
Ill-defined executive powers, often vague and shifting extend the power of the executive.
Minimally defined, an authoritarian government lacks free and competitive direct elections to legislatures, free and competitive direct or indirect elections for executives, or both. Broadly defined, authoritarian states include countries that lack civil liberties such as freedom of religion, or countries in which the government and the opposition do not alternate in power at least once following free elections. Authoritarian states might contain nominally democratic institutions such as political parties, legislatures and elections which are managed to entrench authoritarian rule and can feature fraudulent, non-competitive elections. In contexts of democratic backsliding, scholars tend to identify authoritarian political leaders based on certain tactics, such as: politicizing independent institutions, spreading disinformation, aggrandizing executive power, quashing dissent, targeting vulnerable communities, stoking violence, and corrupting elections. Since 1946, the share of authoritarian states in the international political system increased until the mid-1970s but declined from then until the year 2000.
### Answer: 1. Limited political pluralism or outright rejection of political pluralism.
2. Lack of civil liberties
3. Lack of free, fair and competitive elections
4. So-called democratic institutions corrupted by authoritarian rule
5. Use of election tactics such as spreading misinformation, politicizing independent institutions, quashing dissent, engaging in culture wars, targeting vulnerable communities, stoking violence, and aggrandizing executive power.
6. Use of a strong central power to preserve the political status quo at the cost of basic democratic ideals such as the rule of law, separation of powers, and voting rights.</s> |
Based on this text, would it be correct to say a peanut is a nut? | The peanut (Arachis hypogaea), also known as the groundnut, goober, pindar or monkey nut (UK), is a legume crop grown mainly for its edible seeds. It is widely grown in the tropics and subtropics, important to both small and large commercial producers. It is classified as both a grain legume and, due to its high oil content, an oil crop. World annual production of shelled peanuts was 44 million tonnes in 2016, led by China with 38% of the world total. Atypically among legume crop plants, peanut pods develop underground (geocarpy) rather than above ground. With this characteristic in mind, the botanist Carl Linnaeus gave peanuts the specific epithet hypogaea, which means "under the earth".
The peanut belongs to the botanical family Fabaceae (or Leguminosae), commonly known as the legume, bean, or pea family. Like most other legumes, peanuts harbor symbiotic nitrogen-fixing bacteria in root nodules. The capacity to fix nitrogen means peanuts require less nitrogen-containing fertilizer and improve soil fertility, making them valuable in crop rotations.
Peanuts are similar in taste and nutritional profile to tree nuts such as walnuts and almonds, and, as a culinary nut, are often served in similar ways in Western cuisines. The botanical definition of a nut is "a fruit whose ovary wall becomes hard at maturity." Using this criterion, the peanut is not a nut. However, peanuts are usually categorized as nuts for culinary purposes and in common English more generally. | This article describes different ways to classify a peanut. In a culinary or colloquial regard, yes it can be considered a nut. In the botanical or biological definition, it is not a nut but rather a legume. | summarization | ### Instruction: Based on this text, would it be correct to say a peanut is a nut?
### Context: The peanut (Arachis hypogaea), also known as the groundnut, goober, pindar or monkey nut (UK), is a legume crop grown mainly for its edible seeds. It is widely grown in the tropics and subtropics, important to both small and large commercial producers. It is classified as both a grain legume and, due to its high oil content, an oil crop. World annual production of shelled peanuts was 44 million tonnes in 2016, led by China with 38% of the world total. Atypically among legume crop plants, peanut pods develop underground (geocarpy) rather than above ground. With this characteristic in mind, the botanist Carl Linnaeus gave peanuts the specific epithet hypogaea, which means "under the earth".
The peanut belongs to the botanical family Fabaceae (or Leguminosae), commonly known as the legume, bean, or pea family. Like most other legumes, peanuts harbor symbiotic nitrogen-fixing bacteria in root nodules. The capacity to fix nitrogen means peanuts require less nitrogen-containing fertilizer and improve soil fertility, making them valuable in crop rotations.
Peanuts are similar in taste and nutritional profile to tree nuts such as walnuts and almonds, and, as a culinary nut, are often served in similar ways in Western cuisines. The botanical definition of a nut is "a fruit whose ovary wall becomes hard at maturity." Using this criterion, the peanut is not a nut. However, peanuts are usually categorized as nuts for culinary purposes and in common English more generally.
### Answer: This article describes different ways to classify a peanut. In a culinary or colloquial regard, yes it can be considered a nut. In the botanical or biological definition, it is not a nut but rather a legume.</s> |
Please describe what is oil and give me a list of it’s applications. | An oil is any nonpolar chemical substance that is composed primarily of hydrocarbons and is hydrophobic (does not mix with water) & lipophilic (mixes with other oils). Oils are usually flammable and surface active. Most oils are unsaturated lipids that are liquid at room temperature.
The general definition of oil includes classes of chemical compounds that may be otherwise unrelated in structure, properties, and uses. Oils may be animal, vegetable, or petrochemical in origin, and may be volatile or non-volatile. They are used for food (e.g., olive oil), fuel (e.g., heating oil), medical purposes (e.g., mineral oil), lubrication (e.g. motor oil), and the manufacture of many types of paints, plastics, and other materials. Specially prepared oils are used in some religious ceremonies and rituals as purifying agents. | An oil is a chemical substance that is composed primarily of hydrocarbons and may be animal, vegetable or petrochemical in origin.
Oil is used in a wide range of applications and is essential to everyday human life. These are:
Cooking - edible vegetable and animal oils are used for various purposes in cooking and food preparation
Cosmetics - most facial cleansers, lotions and hair care products contain molecules that come from mineral and vegetable oils
Fuel - crude oil is refined and converted to diesel, gasoline or jet fuel to power cars, trucks and planes
Heating - petrochemical oil is used for heating
Painting - oil is used as a supporting medium for paints
Lubrication - oils are used in various engineering purposes as they do not easily adhere to other substance which makes them useful as lubricants
Religion - oil has been used throughout history as a religious medium. It is often considered a spiritually purifying agent and is used to anointing purposes
Health - oils holds lots of fats and medical properties, for example fish oil holds the omega-3 fatty acid which helps with inflammation and reduces fat in the bloodstream | summarization | ### Instruction: Please describe what is oil and give me a list of it’s applications.
### Context: An oil is any nonpolar chemical substance that is composed primarily of hydrocarbons and is hydrophobic (does not mix with water) & lipophilic (mixes with other oils). Oils are usually flammable and surface active. Most oils are unsaturated lipids that are liquid at room temperature.
The general definition of oil includes classes of chemical compounds that may be otherwise unrelated in structure, properties, and uses. Oils may be animal, vegetable, or petrochemical in origin, and may be volatile or non-volatile. They are used for food (e.g., olive oil), fuel (e.g., heating oil), medical purposes (e.g., mineral oil), lubrication (e.g. motor oil), and the manufacture of many types of paints, plastics, and other materials. Specially prepared oils are used in some religious ceremonies and rituals as purifying agents.
### Answer: An oil is a chemical substance that is composed primarily of hydrocarbons and may be animal, vegetable or petrochemical in origin.
Oil is used in a wide range of applications and is essential to everyday human life. These are:
Cooking - edible vegetable and animal oils are used for various purposes in cooking and food preparation
Cosmetics - most facial cleansers, lotions and hair care products contain molecules that come from mineral and vegetable oils
Fuel - crude oil is refined and converted to diesel, gasoline or jet fuel to power cars, trucks and planes
Heating - petrochemical oil is used for heating
Painting - oil is used as a supporting medium for paints
Lubrication - oils are used in various engineering purposes as they do not easily adhere to other substance which makes them useful as lubricants
Religion - oil has been used throughout history as a religious medium. It is often considered a spiritually purifying agent and is used to anointing purposes
Health - oils holds lots of fats and medical properties, for example fish oil holds the omega-3 fatty acid which helps with inflammation and reduces fat in the bloodstream</s> |
What was the app after the second app released by YouTube? | Through this period, YouTube tried several new ways to generate revenue beyond advertisements. In 2013, YouTube launched a pilot program for content providers to offer premium, subscription-based channels. This effort was discontinued in January 2018 and relaunched in June, with US$4.99 channel subscriptions. These channel subscriptions complemented the existing Super Chat ability, launched in 2017, which allows viewers to donate between $1 and $500 to have their comment highlighted. In 2014, YouTube announced a subscription service known as "Music Key," which bundled ad-free streaming of music content on YouTube with the existing Google Play Music service. The service continued to evolve in 2015 when YouTube announced YouTube Red, a new premium service that would offer ad-free access to all content on the platform (succeeding the Music Key service released the previous year), premium original series, and films produced by YouTube personalities, as well as background playback of content on mobile devices. YouTube also released YouTube Music, a third app oriented towards streaming and discovering the music content hosted on the YouTube platform. | The third app released by YouTube was YouTube Music, which oriented towards streaming and discovering the music content hosted on the YouTube platform | summarization | ### Instruction: What was the app after the second app released by YouTube?
### Context: Through this period, YouTube tried several new ways to generate revenue beyond advertisements. In 2013, YouTube launched a pilot program for content providers to offer premium, subscription-based channels. This effort was discontinued in January 2018 and relaunched in June, with US$4.99 channel subscriptions. These channel subscriptions complemented the existing Super Chat ability, launched in 2017, which allows viewers to donate between $1 and $500 to have their comment highlighted. In 2014, YouTube announced a subscription service known as "Music Key," which bundled ad-free streaming of music content on YouTube with the existing Google Play Music service. The service continued to evolve in 2015 when YouTube announced YouTube Red, a new premium service that would offer ad-free access to all content on the platform (succeeding the Music Key service released the previous year), premium original series, and films produced by YouTube personalities, as well as background playback of content on mobile devices. YouTube also released YouTube Music, a third app oriented towards streaming and discovering the music content hosted on the YouTube platform.
### Answer: The third app released by YouTube was YouTube Music, which oriented towards streaming and discovering the music content hosted on the YouTube platform</s> |
Who are the top 4 in EPL? | The 2000s saw the rise of first Liverpool, and then Arsenal to real competitiveness, Chelsea finally breaking the duopoly by winning in 2004-05. The dominance of the so-called "Top Four" clubs. Arsenal, Chelsea, Liverpool and Manchester United saw them finish at the top of the table for the bulk of the decade, thereby guaranteeing qualification for the UEFA Champions League. Only three other clubs managed to qualify for the competition during this period: Newcastle United (2001–02 and 2002–03), Everton (2004–05) and Tottenham Hotspur (2009–10) – each occupying the final Champions League spot, with the exception of Newcastle in the 2002–03 season, who finished third.
Following the 2003–04 season, Arsenal acquired the nickname "The Invincibles" as it became the first, and to date, only club to complete a Premier League campaign without losing a single game.
In May 2008, Kevin Keegan stated that "Top Four" dominance threatened the division: "This league is in danger of becoming one of the most boring but great leagues in the world." Premier League chief executive Richard Scudamore said in defence: "There are a lot of different tussles that go on in the Premier League depending on whether you're at the top, in the middle or at the bottom that make it interesting."
Between 2005 and 2012 there was a Premier League representative in seven of the eight Champions League finals, with only "Top Four" clubs reaching that stage. Liverpool (2005), Manchester United (2008) and Chelsea (2012) won the competition during this period, with Arsenal (2006), Liverpool (2007), Chelsea (2008) and Manchester United (2009 and 2011) all losing Champions League finals. Leeds United were the only non-"Top Four" side to reach the semi-finals of the Champions League, in the 2000–01 season. There were three Premier League teams in the Champions League semi-finals in 2006–07, 2007–08, and 2008–09, a feat only ever achieved five times (along with Serie A in 2002–03 and La Liga in 1999–2000).
Additionally, between the 1999–2000 and 2009–10 seasons, four Premier League sides reached UEFA Cup or Europa League finals, with only Liverpool managing to win the competition in 2001. Arsenal (2000), Middlesbrough (2006) and Fulham (2010) all lost their finals.
Although the group's dominance was reduced to a degree after this period with the emergence of Manchester City and Tottenham, in terms of all-time Premier League points won they remain clear by some margin. As of the end of the 2021–22 season – the 27th season of the Premier League – Liverpool, in fourth place in the all-time points table, were over 300 points ahead of the next team, Tottenham Hotspur. They are also the only teams to maintain a winning average of over 50% throughout their entire Premier League tenures. | Arsenal, Liverpool, Manchester United and Chelsea are know as the "Top Four" in the English Premier league. | summarization | ### Instruction: Who are the top 4 in EPL?
### Context: The 2000s saw the rise of first Liverpool, and then Arsenal to real competitiveness, Chelsea finally breaking the duopoly by winning in 2004-05. The dominance of the so-called "Top Four" clubs. Arsenal, Chelsea, Liverpool and Manchester United saw them finish at the top of the table for the bulk of the decade, thereby guaranteeing qualification for the UEFA Champions League. Only three other clubs managed to qualify for the competition during this period: Newcastle United (2001–02 and 2002–03), Everton (2004–05) and Tottenham Hotspur (2009–10) – each occupying the final Champions League spot, with the exception of Newcastle in the 2002–03 season, who finished third.
Following the 2003–04 season, Arsenal acquired the nickname "The Invincibles" as it became the first, and to date, only club to complete a Premier League campaign without losing a single game.
In May 2008, Kevin Keegan stated that "Top Four" dominance threatened the division: "This league is in danger of becoming one of the most boring but great leagues in the world." Premier League chief executive Richard Scudamore said in defence: "There are a lot of different tussles that go on in the Premier League depending on whether you're at the top, in the middle or at the bottom that make it interesting."
Between 2005 and 2012 there was a Premier League representative in seven of the eight Champions League finals, with only "Top Four" clubs reaching that stage. Liverpool (2005), Manchester United (2008) and Chelsea (2012) won the competition during this period, with Arsenal (2006), Liverpool (2007), Chelsea (2008) and Manchester United (2009 and 2011) all losing Champions League finals. Leeds United were the only non-"Top Four" side to reach the semi-finals of the Champions League, in the 2000–01 season. There were three Premier League teams in the Champions League semi-finals in 2006–07, 2007–08, and 2008–09, a feat only ever achieved five times (along with Serie A in 2002–03 and La Liga in 1999–2000).
Additionally, between the 1999–2000 and 2009–10 seasons, four Premier League sides reached UEFA Cup or Europa League finals, with only Liverpool managing to win the competition in 2001. Arsenal (2000), Middlesbrough (2006) and Fulham (2010) all lost their finals.
Although the group's dominance was reduced to a degree after this period with the emergence of Manchester City and Tottenham, in terms of all-time Premier League points won they remain clear by some margin. As of the end of the 2021–22 season – the 27th season of the Premier League – Liverpool, in fourth place in the all-time points table, were over 300 points ahead of the next team, Tottenham Hotspur. They are also the only teams to maintain a winning average of over 50% throughout their entire Premier League tenures.
### Answer: Arsenal, Liverpool, Manchester United and Chelsea are know as the "Top Four" in the English Premier league.</s> |
Give me the most popular characters in DC Comics from this paragraph without summarizing. | DC Comics is one of the largest and oldest American comic book companies, with their first comic under the DC banner being published in 1937. The majority of its publications take place within the fictional DC Universe and feature numerous culturally iconic heroic characters, such as Superman, Batman, Wonder Woman, Flash, Aquaman, Green Lantern, and Cyborg; as well as famous fictional teams including the Justice League, the Justice Society of America, the Justice League Dark, the Doom Patrol, and the Teen Titans. The universe also features an assortment of well-known supervillains such as Lex Luthor, the Joker, the Cheetah, the Reverse-Flash, Black Manta, Sinestro, and Darkseid. The company has published non-DC Universe-related material, including Watchmen, V for Vendetta, Fables and many titles under their alternative imprint Vertigo and now DC Black Label. | Some of the most popular characters in DC Comics include Superman, Batman, Wonder Woman, the Flash, Aquaman, and Green Lantern. These characters are often portrayed by themselves as well as affiliated in superhero teams, such as the Justice League and the Teen Titans. | summarization | ### Instruction: Give me the most popular characters in DC Comics from this paragraph without summarizing.
### Context: DC Comics is one of the largest and oldest American comic book companies, with their first comic under the DC banner being published in 1937. The majority of its publications take place within the fictional DC Universe and feature numerous culturally iconic heroic characters, such as Superman, Batman, Wonder Woman, Flash, Aquaman, Green Lantern, and Cyborg; as well as famous fictional teams including the Justice League, the Justice Society of America, the Justice League Dark, the Doom Patrol, and the Teen Titans. The universe also features an assortment of well-known supervillains such as Lex Luthor, the Joker, the Cheetah, the Reverse-Flash, Black Manta, Sinestro, and Darkseid. The company has published non-DC Universe-related material, including Watchmen, V for Vendetta, Fables and many titles under their alternative imprint Vertigo and now DC Black Label.
### Answer: Some of the most popular characters in DC Comics include Superman, Batman, Wonder Woman, the Flash, Aquaman, and Green Lantern. These characters are often portrayed by themselves as well as affiliated in superhero teams, such as the Justice League and the Teen Titans.</s> |
What are the administrative divisions in Morocco ? | Morocco is officially divided into 12 regions, which, in turn, are subdivided into 62 provinces and 13 prefectures. | Tanger-Tetouan-Al Hoceima
Oriental
Fès-Meknès
Rabat-Salé-Kénitra
Béni Mellal-Khénifra
Casablanca-Settat
Marrakesh-Safi
Drâa-Tafilalet
Souss-Massa
Guelmim-Oued Noun
Laâyoune-Sakia El Hamra
Dakhla-Oued Ed-Dahab | summarization | ### Instruction: What are the administrative divisions in Morocco ?
### Context: Morocco is officially divided into 12 regions, which, in turn, are subdivided into 62 provinces and 13 prefectures.
### Answer: Tanger-Tetouan-Al Hoceima
Oriental
Fès-Meknès
Rabat-Salé-Kénitra
Béni Mellal-Khénifra
Casablanca-Settat
Marrakesh-Safi
Drâa-Tafilalet
Souss-Massa
Guelmim-Oued Noun
Laâyoune-Sakia El Hamra
Dakhla-Oued Ed-Dahab</s> |
Is there a secure desktop operating system I can use today? | Qubes OS is a desktop operating system based around the Xen hypervisor that allows grouping programs into a number of isolated sandboxes (virtual machines) to provide security. Windows for programs running within these sandboxes ("security domains") can be color coded for easy recognition. The security domains are configurable, they can be transient (changes to the file system will not be preserved), and their network connection can be routed through special virtual machines (for example one that only provides Tor networking). The operating system provides secure mechanisms for copy and paste and for copying files between the security domains. | Use Qubes OS! It is fairly complete and provide good isolation for most of your applications. | summarization | ### Instruction: Is there a secure desktop operating system I can use today?
### Context: Qubes OS is a desktop operating system based around the Xen hypervisor that allows grouping programs into a number of isolated sandboxes (virtual machines) to provide security. Windows for programs running within these sandboxes ("security domains") can be color coded for easy recognition. The security domains are configurable, they can be transient (changes to the file system will not be preserved), and their network connection can be routed through special virtual machines (for example one that only provides Tor networking). The operating system provides secure mechanisms for copy and paste and for copying files between the security domains.
### Answer: Use Qubes OS! It is fairly complete and provide good isolation for most of your applications.</s> |
What are the Olympic light weight events. | The first lightweight events were added to the World Championships in 1974 for men and 1985 for women. Lightweight rowing was added to the Olympics in 1996 but this came under threat in 2002 when the Programme Commission of the IOC recommended that, outside combat sports and weightlifting, there should not be weight category events. The executive board overturned this recommendation and lightweight rowing continues at the Olympics, though only in the men's and women's double sculls.
There are two Olympic-class lightweight events: men's double sculls and women's double sculls. From 1996 - 2016 the men's Lightweight 4- was included in the Olympics. | Two Olympic lightweight events are men's double sculls and women's double sculls | summarization | ### Instruction: What are the Olympic light weight events.
### Context: The first lightweight events were added to the World Championships in 1974 for men and 1985 for women. Lightweight rowing was added to the Olympics in 1996 but this came under threat in 2002 when the Programme Commission of the IOC recommended that, outside combat sports and weightlifting, there should not be weight category events. The executive board overturned this recommendation and lightweight rowing continues at the Olympics, though only in the men's and women's double sculls.
There are two Olympic-class lightweight events: men's double sculls and women's double sculls. From 1996 - 2016 the men's Lightweight 4- was included in the Olympics.
### Answer: Two Olympic lightweight events are men's double sculls and women's double sculls</s> |
Tell me about the history of how the NBA started? | The Basketball Association of America was founded in 1946 by owners of the major ice hockey arenas in the Northeastern and Midwestern United States and Canada. On November 1, 1946, in Toronto, Ontario, Canada, the Toronto Huskies hosted the New York Knickerbockers at Maple Leaf Gardens, in a game the NBA now refers to as the first game played in NBA history. The first basket was made by Ossie Schectman of the Knickerbockers. Although there had been earlier attempts at professional basketball leagues, including the American Basketball League (ABL) and the NBL, the BAA was the first league to attempt to play primarily in large arenas in major cities. During its early years, the quality of play in the BAA was not significantly better than in competing leagues or among leading independent clubs such as the Harlem Globetrotters. For instance, the 1948 ABL finalist Baltimore Bullets moved to the BAA and won that league's 1948 title, and the 1948 NBL champion Minneapolis Lakers won the 1949 BAA title. Prior to the 1948–49 season, however, NBL teams from Fort Wayne, Indianapolis, Minneapolis, and Rochester jumped to the BAA, which established the BAA as the league of choice for collegians looking to turn professional.
On August 3, 1949, the remaining NBL teams–Syracuse, Anderson, Tri-Cities, Sheboygan, Denver, and Waterloo–merged into the BAA. In deference to the merger and to avoid possible legal complications, the league name was changed to the present National Basketball Association, even though the merged league retained the BAA's governing body, including Maurice Podoloff as president. To this day, the NBA claims the BAA's history as its own. It now reckons the arrival of the NBL teams as an expansion, not a merger, and does not recognize NBL records and statistics. | The league was founded in New York City on June 6, 1946, as the Basketball Association of America (BAA). It changed its name to the National Basketball Association on August 3, 1949, after merging with the competing National Basketball League.. | summarization | ### Instruction: Tell me about the history of how the NBA started?
### Context: The Basketball Association of America was founded in 1946 by owners of the major ice hockey arenas in the Northeastern and Midwestern United States and Canada. On November 1, 1946, in Toronto, Ontario, Canada, the Toronto Huskies hosted the New York Knickerbockers at Maple Leaf Gardens, in a game the NBA now refers to as the first game played in NBA history. The first basket was made by Ossie Schectman of the Knickerbockers. Although there had been earlier attempts at professional basketball leagues, including the American Basketball League (ABL) and the NBL, the BAA was the first league to attempt to play primarily in large arenas in major cities. During its early years, the quality of play in the BAA was not significantly better than in competing leagues or among leading independent clubs such as the Harlem Globetrotters. For instance, the 1948 ABL finalist Baltimore Bullets moved to the BAA and won that league's 1948 title, and the 1948 NBL champion Minneapolis Lakers won the 1949 BAA title. Prior to the 1948–49 season, however, NBL teams from Fort Wayne, Indianapolis, Minneapolis, and Rochester jumped to the BAA, which established the BAA as the league of choice for collegians looking to turn professional.
On August 3, 1949, the remaining NBL teams–Syracuse, Anderson, Tri-Cities, Sheboygan, Denver, and Waterloo–merged into the BAA. In deference to the merger and to avoid possible legal complications, the league name was changed to the present National Basketball Association, even though the merged league retained the BAA's governing body, including Maurice Podoloff as president. To this day, the NBA claims the BAA's history as its own. It now reckons the arrival of the NBL teams as an expansion, not a merger, and does not recognize NBL records and statistics.
### Answer: The league was founded in New York City on June 6, 1946, as the Basketball Association of America (BAA). It changed its name to the National Basketball Association on August 3, 1949, after merging with the competing National Basketball League..</s> |
Please list the Peace Nobel Prize award winners according to the text | The interval between the award and the accomplishment it recognises varies from discipline to discipline. The Literature Prize is typically awarded to recognise a cumulative lifetime body of work rather than a single achievement. The Peace Prize can also be awarded for a lifetime body of work. For example, 2008 laureate Martti Ahtisaari was awarded for his work to resolve international conflicts. However, they can also be awarded for specific recent events. For instance, Kofi Annan was awarded the 2001 Peace Prize just four years after becoming the Secretary-General of the United Nations. Similarly Yasser Arafat, Yitzhak Rabin, and Shimon Peres received the 1994 award, about a year after they successfully concluded the Oslo Accords. A recent controversy was caused by awarding the 2009 Nobel Peace Prize to Barack Obama during his first year as US president. | Martti Ahtisaari, Kofi Annan, Yasser Arafat, Yitzhak Rabin, Shimon Peres, Barack Obama | summarization | ### Instruction: Please list the Peace Nobel Prize award winners according to the text
### Context: The interval between the award and the accomplishment it recognises varies from discipline to discipline. The Literature Prize is typically awarded to recognise a cumulative lifetime body of work rather than a single achievement. The Peace Prize can also be awarded for a lifetime body of work. For example, 2008 laureate Martti Ahtisaari was awarded for his work to resolve international conflicts. However, they can also be awarded for specific recent events. For instance, Kofi Annan was awarded the 2001 Peace Prize just four years after becoming the Secretary-General of the United Nations. Similarly Yasser Arafat, Yitzhak Rabin, and Shimon Peres received the 1994 award, about a year after they successfully concluded the Oslo Accords. A recent controversy was caused by awarding the 2009 Nobel Peace Prize to Barack Obama during his first year as US president.
### Answer: Martti Ahtisaari, Kofi Annan, Yasser Arafat, Yitzhak Rabin, Shimon Peres, Barack Obama</s> |
Extract some details about the company 'Bath & Body Works' from the given passage | Bath & Body Works was founded in 1990 in New Albany, Ohio. The company's first store opened in a Cambridge, Massachusetts mall in September 1990. In 1997, a secondary brand called Bath & Body Works at Home was launched. Two years later the company launched the White Barn Candle Company, a division specializing in the sale of scented candles. | 1. In 1990, New Albany, Ohio, Bath & Body Works was founded.
2. In the same year Sept 1990 , the company's first store was opened in a Cambridge, Massachusetts mall.
3. In year 1997, a secondary brand called Bath & Body Works at Home was also launched.
4. Two years after the lauch, they launched another company named the White Barn Candle Company, a division specializing in the sale of scented candles. | summarization | ### Instruction: Extract some details about the company 'Bath & Body Works' from the given passage
### Context: Bath & Body Works was founded in 1990 in New Albany, Ohio. The company's first store opened in a Cambridge, Massachusetts mall in September 1990. In 1997, a secondary brand called Bath & Body Works at Home was launched. Two years later the company launched the White Barn Candle Company, a division specializing in the sale of scented candles.
### Answer: 1. In 1990, New Albany, Ohio, Bath & Body Works was founded.
2. In the same year Sept 1990 , the company's first store was opened in a Cambridge, Massachusetts mall.
3. In year 1997, a secondary brand called Bath & Body Works at Home was also launched.
4. Two years after the lauch, they launched another company named the White Barn Candle Company, a division specializing in the sale of scented candles.</s> |
Give me a history of Valve | Founding and Half-Life (1996–2003)
Gabe Newell (foreground) and Doug Lombardi (background), 2007
Valve was founded as Valve, LLC, in 1996 by former Microsoft employees Gabe Newell and Mike Harrington. Newell had spent the prior 13 years at Microsoft developing Windows, including the Windows 95 port of Doom. Wanting to move onto a new venture using their shared wealth, Newell and Harrington founded Valve, L.L.C. in Kirkland, Washington (about five miles from the Microsoft campus in Redmond), on August 24, 1996, Newell's wedding day. Alternative names considered by Newell and Harrington include Fruitfly Ensemble and Rhino Scar.
Valve's first game was Half-Life, a first-person shooter (FPS) with elements of horror. The development was aided by access to the Quake engine by id Software; Valve modified this engine into their GoldSrc engine. After struggling to find a publisher, Valve eventually signed with Sierra On-Line. Half-Life was released in November 1998 and was a critical and commercial success. With its realism, scripted sequences and seamless narrative, it had a lasting influence; according to IGN in 2014, the history of the FPS genre "breaks down pretty cleanly into pre-Half-Life and post-Half-Life eras". | Founding and Half-Life (1996–2003): Valve was founded as Valve, LLC, in 1996 by former Microsoft employees Gabe Newell and Mike Harrington in Kirkland, Washington. Valve's first game is Half-Life, a first-person shooter (FPS) released in November 1998. It was developed using the modified Quake engine GoldSrc. After struggling to find a publisher, Valve eventually signed with Sierra On-Line. | summarization | ### Instruction: Give me a history of Valve
### Context: Founding and Half-Life (1996–2003)
Gabe Newell (foreground) and Doug Lombardi (background), 2007
Valve was founded as Valve, LLC, in 1996 by former Microsoft employees Gabe Newell and Mike Harrington. Newell had spent the prior 13 years at Microsoft developing Windows, including the Windows 95 port of Doom. Wanting to move onto a new venture using their shared wealth, Newell and Harrington founded Valve, L.L.C. in Kirkland, Washington (about five miles from the Microsoft campus in Redmond), on August 24, 1996, Newell's wedding day. Alternative names considered by Newell and Harrington include Fruitfly Ensemble and Rhino Scar.
Valve's first game was Half-Life, a first-person shooter (FPS) with elements of horror. The development was aided by access to the Quake engine by id Software; Valve modified this engine into their GoldSrc engine. After struggling to find a publisher, Valve eventually signed with Sierra On-Line. Half-Life was released in November 1998 and was a critical and commercial success. With its realism, scripted sequences and seamless narrative, it had a lasting influence; according to IGN in 2014, the history of the FPS genre "breaks down pretty cleanly into pre-Half-Life and post-Half-Life eras".
### Answer: Founding and Half-Life (1996–2003): Valve was founded as Valve, LLC, in 1996 by former Microsoft employees Gabe Newell and Mike Harrington in Kirkland, Washington. Valve's first game is Half-Life, a first-person shooter (FPS) released in November 1998. It was developed using the modified Quake engine GoldSrc. After struggling to find a publisher, Valve eventually signed with Sierra On-Line.</s> |
I want to try shooting sports, Can you throw some light on this using the given text as a reference? | Shooting sports is a group of competitive and recreational sporting activities involving proficiency tests of accuracy, precision and speed in shooting — the art of using ranged weapons, mainly small arms (firearms and airguns, in forms such as handguns, rifles and shotguns) and bows/crossbows. | 1. A group of competitive and leisure sports activities is referred to as shooting sports.
2. It involves shooting competency examinations that measure accuracy, precision, and speed. Shooting is the art of employing ranged weapons, mostly small arms (firearms and airguns, in forms such pistols, rifles, and shotguns), as well as bows and crossbows. | summarization | ### Instruction: I want to try shooting sports, Can you throw some light on this using the given text as a reference?
### Context: Shooting sports is a group of competitive and recreational sporting activities involving proficiency tests of accuracy, precision and speed in shooting — the art of using ranged weapons, mainly small arms (firearms and airguns, in forms such as handguns, rifles and shotguns) and bows/crossbows.
### Answer: 1. A group of competitive and leisure sports activities is referred to as shooting sports.
2. It involves shooting competency examinations that measure accuracy, precision, and speed. Shooting is the art of employing ranged weapons, mostly small arms (firearms and airguns, in forms such pistols, rifles, and shotguns), as well as bows and crossbows.</s> |
Provide a short, bulleted summary of what historians consider the cause of the War of 1812 | Since the conclusion of the War of 1812, historians have long debated the relative weight of the multiple reasons underlying its origins.
During the nineteenth century, historians generally concluded that war was declared largely over national honour, neutral maritime rights and the British seizure of neutral ships and their cargoes on the high seas. This theme was the basis of President James Madison's war message to Congress on June 1, 1812. At the turn of the 20th century, much of the contemporary scholarship re-evaluated this explanation and began to focus more on non-maritime factors as significant contributing causes as well. However, historian Warren H. Goodman warns that too much focus on these ideas can be equally misleading.
In disagreeing with those interpretations that have simply stressed expansionism and minimized maritime causation, historians have ignored deep-seated American fears for national security, dreams of a continent completely controlled by the republican United States, and the evidence that many Americans believed that the War of 1812 would be the occasion for the United States to achieve the long-desired annexation of Canada. [...] Thomas Jefferson well summarized American majority opinion about the war [...] to say "that the cession of Canada [...] must be a sine qua non at a treaty of peace." - Horsman
Historian Richard Maass argues that the expansionist theme is a myth that goes against the "relative consensus among experts that the primary American objective was the repeal of British maritime restrictions". He says that scholars agree that the United States went to war "because six years of economic sanctions had failed to bring Britain to the negotiating table, and threatening the Royal Navy's Canadian supply base was their last hope". Maass agrees that expansionism might have tempted Americans on a theoretical level, but he finds that "leaders feared the domestic political consequences of doing so", particularly because such expansion "focused on sparsely populated western lands rather than the more populous eastern settlements". To what extent that American leaders considered the question of pursuing territory in Canada, those questions "arose as a result of the war rather than as a driving cause." However, Maass accepts that many historians continue to believe that expansionism was a cause.
Reginald Horsman sees expansionism as a secondary cause after maritime issues, noting that many historians have mistakenly rejected expansionism as a cause for the war. He notes that it was considered key to maintaining sectional balance between free and slave states thrown off by American settlement of the Louisiana Territory and widely supported by dozens of War Hawk congressmen such as Henry Clay, Felix Grundy, John Adams Harper and Richard Mentor Johnson, who voted for war with expansion as a key aim. However, Horsman states that in his view "the desire for Canada did not cause the War of 1812" and that "The United States did not declare war because it wanted to obtain Canada, but the acquisition of Canada was viewed as a major collateral benefit of the conflict".
However, other historians believe that a desire to permanently annex Canada was a direct cause of the war.[full citation needed] Carl Benn notes that the War Hawks' desire to annex the Canadas was similar to the enthusiasm for the annexation of Spanish Florida by inhabitants of the American South as both expected war to facilitate expansion into long-desired lands and end support for hostile tribes (Tecumseh's Confederacy in the North and the Creek in the South).
Alan Taylor says that many Democratic-Republican congressmen such as John Adams Harper, Richard Mentor Johnson and Peter Buell Porter "longed to oust the British from the continent and to annex Canada". A few Southerners opposed this, fearing an imbalance of free and slave states if Canada was annexed. Anti-Catholicism also caused many to oppose annexing the mainly Catholic Lower Canada, believing its French-speaking inhabitants unfit "for republican citizenship".
Even major figures such as Henry Clay and James Monroe expected to keep at least Upper Canada in an easy conquest. Notable American generals such as William Hull issued proclamations to Canadians during the war promising republican liberation through incorporation into the United States. General Alexander Smyth similarly declared to his troops when they invaded Canada that "you will enter a country that is to become one of the United States. You will arrive among a people who are to become your fellow-citizens". However, a lack of clarity about American intentions undercut these appeals.
David and Jeanne Heidler argue that "most historians agree that the War of 1812 was not caused by expansionism but instead reflected a real concern of American patriots to defend United States' neutral rights from the overbearing tyranny of the British Navy. That is not to say that expansionist aims would not potentially result from the war". However, they also argue otherwise, saying that "acquiring Canada would satisfy America's expansionist desires", also describing it as a key goal of western expansionists who, they argue, believed that "eliminating the British presence in Canada would best accomplish" their goal of halting British support for tribal raids. They argue that the "enduring debate" is over the relative importance of expansionism as a factor, and whether "expansionism played a greater role in causing the War of 1812 than American concern about protecting neutral maritime rights".
In the 1960s, the work of Norman K. Risjord, Reginald Horsman, Bradford Perkins and Roger Brown established a new eastern maritime consensus. While these authors approached the origins of the war from many perspectives, they all conceded that British maritime policy was the principal cause of the war. | Different historians believe the war of 1812 was caused by:
1. National honor, neutral maritime rights, and naval ship seizures
2. Desire by the United States to permanently annex Canada
3. British maritime policy and its perceived threat on the United States | summarization | ### Instruction: Provide a short, bulleted summary of what historians consider the cause of the War of 1812
### Context: Since the conclusion of the War of 1812, historians have long debated the relative weight of the multiple reasons underlying its origins.
During the nineteenth century, historians generally concluded that war was declared largely over national honour, neutral maritime rights and the British seizure of neutral ships and their cargoes on the high seas. This theme was the basis of President James Madison's war message to Congress on June 1, 1812. At the turn of the 20th century, much of the contemporary scholarship re-evaluated this explanation and began to focus more on non-maritime factors as significant contributing causes as well. However, historian Warren H. Goodman warns that too much focus on these ideas can be equally misleading.
In disagreeing with those interpretations that have simply stressed expansionism and minimized maritime causation, historians have ignored deep-seated American fears for national security, dreams of a continent completely controlled by the republican United States, and the evidence that many Americans believed that the War of 1812 would be the occasion for the United States to achieve the long-desired annexation of Canada. [...] Thomas Jefferson well summarized American majority opinion about the war [...] to say "that the cession of Canada [...] must be a sine qua non at a treaty of peace." - Horsman
Historian Richard Maass argues that the expansionist theme is a myth that goes against the "relative consensus among experts that the primary American objective was the repeal of British maritime restrictions". He says that scholars agree that the United States went to war "because six years of economic sanctions had failed to bring Britain to the negotiating table, and threatening the Royal Navy's Canadian supply base was their last hope". Maass agrees that expansionism might have tempted Americans on a theoretical level, but he finds that "leaders feared the domestic political consequences of doing so", particularly because such expansion "focused on sparsely populated western lands rather than the more populous eastern settlements". To what extent that American leaders considered the question of pursuing territory in Canada, those questions "arose as a result of the war rather than as a driving cause." However, Maass accepts that many historians continue to believe that expansionism was a cause.
Reginald Horsman sees expansionism as a secondary cause after maritime issues, noting that many historians have mistakenly rejected expansionism as a cause for the war. He notes that it was considered key to maintaining sectional balance between free and slave states thrown off by American settlement of the Louisiana Territory and widely supported by dozens of War Hawk congressmen such as Henry Clay, Felix Grundy, John Adams Harper and Richard Mentor Johnson, who voted for war with expansion as a key aim. However, Horsman states that in his view "the desire for Canada did not cause the War of 1812" and that "The United States did not declare war because it wanted to obtain Canada, but the acquisition of Canada was viewed as a major collateral benefit of the conflict".
However, other historians believe that a desire to permanently annex Canada was a direct cause of the war.[full citation needed] Carl Benn notes that the War Hawks' desire to annex the Canadas was similar to the enthusiasm for the annexation of Spanish Florida by inhabitants of the American South as both expected war to facilitate expansion into long-desired lands and end support for hostile tribes (Tecumseh's Confederacy in the North and the Creek in the South).
Alan Taylor says that many Democratic-Republican congressmen such as John Adams Harper, Richard Mentor Johnson and Peter Buell Porter "longed to oust the British from the continent and to annex Canada". A few Southerners opposed this, fearing an imbalance of free and slave states if Canada was annexed. Anti-Catholicism also caused many to oppose annexing the mainly Catholic Lower Canada, believing its French-speaking inhabitants unfit "for republican citizenship".
Even major figures such as Henry Clay and James Monroe expected to keep at least Upper Canada in an easy conquest. Notable American generals such as William Hull issued proclamations to Canadians during the war promising republican liberation through incorporation into the United States. General Alexander Smyth similarly declared to his troops when they invaded Canada that "you will enter a country that is to become one of the United States. You will arrive among a people who are to become your fellow-citizens". However, a lack of clarity about American intentions undercut these appeals.
David and Jeanne Heidler argue that "most historians agree that the War of 1812 was not caused by expansionism but instead reflected a real concern of American patriots to defend United States' neutral rights from the overbearing tyranny of the British Navy. That is not to say that expansionist aims would not potentially result from the war". However, they also argue otherwise, saying that "acquiring Canada would satisfy America's expansionist desires", also describing it as a key goal of western expansionists who, they argue, believed that "eliminating the British presence in Canada would best accomplish" their goal of halting British support for tribal raids. They argue that the "enduring debate" is over the relative importance of expansionism as a factor, and whether "expansionism played a greater role in causing the War of 1812 than American concern about protecting neutral maritime rights".
In the 1960s, the work of Norman K. Risjord, Reginald Horsman, Bradford Perkins and Roger Brown established a new eastern maritime consensus. While these authors approached the origins of the war from many perspectives, they all conceded that British maritime policy was the principal cause of the war.
### Answer: Different historians believe the war of 1812 was caused by:
1. National honor, neutral maritime rights, and naval ship seizures
2. Desire by the United States to permanently annex Canada
3. British maritime policy and its perceived threat on the United States</s> |
How far is Hornowek from Izabelin? | Hornówek [xɔrˈnuvɛk] is a village in the administrative district of Gmina Izabelin, within Warsaw West County, Masovian Voivodeship, in east-central Poland. It lies approximately 2 kilometres (1 mi) south-west of Izabelin, 8 km (5 mi) north of Ożarów Mazowiecki, and 16 km (10 mi) north-west of Warsaw. | Hornowek is roughly 2 kilometers (1 mile) south west of Izabelin. | summarization | ### Instruction: How far is Hornowek from Izabelin?
### Context: Hornówek [xɔrˈnuvɛk] is a village in the administrative district of Gmina Izabelin, within Warsaw West County, Masovian Voivodeship, in east-central Poland. It lies approximately 2 kilometres (1 mi) south-west of Izabelin, 8 km (5 mi) north of Ożarów Mazowiecki, and 16 km (10 mi) north-west of Warsaw.
### Answer: Hornowek is roughly 2 kilometers (1 mile) south west of Izabelin.</s> |
Who is Lewis Hamilton of Formula 1? | Sir Lewis Carl Davidson Hamilton (born 7 January 1985) is a British racing driver currently competing in Formula One, driving for the Mercedes-AMG Petronas Formula One Team. In Formula One, Hamilton has won a joint-record seven World Drivers' Championship titles (tied with Michael Schumacher), and holds the records for the most wins (103), pole positions (103), and podium finishes (192), among others | Born and raised in Stevenage, Hertfordshire, Hamilton joined the McLaren young driver programme in 1998 at the age of 13, becoming the youngest racing driver ever to be contracted by a Formula One team. This led to a Formula One drive with McLaren for six years from 2007 to 2012, making Hamilton the first ever black driver to race in the series. In his inaugural season, Hamilton set numerous records as he finished runner-up to Kimi Räikkönen by one point. The following season, he won his maiden title in dramatic fashion—making a crucial overtake at the last corner on the last lap of the last race of the season—to become the then-youngest Formula One World Champion in history. After six years with McLaren, Hamilton signed with Mercedes in 2013.
Changes to the regulations for 2014 mandating the use of turbo-hybrid engines saw the start of a highly successful period for Hamilton, during which he won six further drivers' titles. Consecutive titles came in 2014 and 2015 during an intense rivalry with teammate Nico Rosberg. Following Rosberg's retirement in 2016, Ferrari's Sebastian Vettel became Hamilton's closest rival in two championship battles, in which Hamilton twice overturned mid-season point deficits to claim consecutive titles again in 2017 and 2018. His third and fourth consecutive titles followed in 2019 and 2020 to equal Schumacher's record of seven drivers' titles. Hamilton achieved his 100th pole position and race win during the 2021 season.
Hamilton has been credited with furthering Formula One's global following by appealing to a broader audience outside the sport, in part due to his high-profile lifestyle, environmental and social activism, and exploits in music and fashion. He has also become a prominent advocate in support of activism to combat racism and push for increased diversity in motorsport. Hamilton was the highest-paid Formula One driver from 2013 to 2021, and was ranked as one of the world's highest-paid athletes by Forbes of twenty-tens decade and 2021. He was also listed in the 2020 issue of Time as one of the 100 most influential people globally, and was knighted in the 2021 New Year Honours. Hamilton was granted honorary Brazilian citizenship in 2022. | summarization | ### Instruction: Who is Lewis Hamilton of Formula 1?
### Context: Sir Lewis Carl Davidson Hamilton (born 7 January 1985) is a British racing driver currently competing in Formula One, driving for the Mercedes-AMG Petronas Formula One Team. In Formula One, Hamilton has won a joint-record seven World Drivers' Championship titles (tied with Michael Schumacher), and holds the records for the most wins (103), pole positions (103), and podium finishes (192), among others
### Answer: Born and raised in Stevenage, Hertfordshire, Hamilton joined the McLaren young driver programme in 1998 at the age of 13, becoming the youngest racing driver ever to be contracted by a Formula One team. This led to a Formula One drive with McLaren for six years from 2007 to 2012, making Hamilton the first ever black driver to race in the series. In his inaugural season, Hamilton set numerous records as he finished runner-up to Kimi Räikkönen by one point. The following season, he won his maiden title in dramatic fashion—making a crucial overtake at the last corner on the last lap of the last race of the season—to become the then-youngest Formula One World Champion in history. After six years with McLaren, Hamilton signed with Mercedes in 2013.
Changes to the regulations for 2014 mandating the use of turbo-hybrid engines saw the start of a highly successful period for Hamilton, during which he won six further drivers' titles. Consecutive titles came in 2014 and 2015 during an intense rivalry with teammate Nico Rosberg. Following Rosberg's retirement in 2016, Ferrari's Sebastian Vettel became Hamilton's closest rival in two championship battles, in which Hamilton twice overturned mid-season point deficits to claim consecutive titles again in 2017 and 2018. His third and fourth consecutive titles followed in 2019 and 2020 to equal Schumacher's record of seven drivers' titles. Hamilton achieved his 100th pole position and race win during the 2021 season.
Hamilton has been credited with furthering Formula One's global following by appealing to a broader audience outside the sport, in part due to his high-profile lifestyle, environmental and social activism, and exploits in music and fashion. He has also become a prominent advocate in support of activism to combat racism and push for increased diversity in motorsport. Hamilton was the highest-paid Formula One driver from 2013 to 2021, and was ranked as one of the world's highest-paid athletes by Forbes of twenty-tens decade and 2021. He was also listed in the 2020 issue of Time as one of the 100 most influential people globally, and was knighted in the 2021 New Year Honours. Hamilton was granted honorary Brazilian citizenship in 2022.</s> |
How strong was the Kent earthquake | The 2007 Kent earthquake registered 4.3 on the Richter scale and struck south east Kent, South East England on 28 April 2007 at 07:18:12 UTC (08:18:12 local time), at a shallow depth of 5.3 km.
The worst affected area was the town of Folkestone, although the towns of Deal, Dover and Ashford were also affected. The tremors could be felt across much of Kent and south east England, including as far as East Sussex, Essex and Suffolk, as well as on the other side of the English Channel at Calais and Brussels. | The 2007 Kent earthquake registered 4.3 on the Richter scale and struck south east Kent, South East England on 28 April 2007 at 07:18:12 UTC (08:18:12 local time), at a shallow depth of 5.3 km. | summarization | ### Instruction: How strong was the Kent earthquake
### Context: The 2007 Kent earthquake registered 4.3 on the Richter scale and struck south east Kent, South East England on 28 April 2007 at 07:18:12 UTC (08:18:12 local time), at a shallow depth of 5.3 km.
The worst affected area was the town of Folkestone, although the towns of Deal, Dover and Ashford were also affected. The tremors could be felt across much of Kent and south east England, including as far as East Sussex, Essex and Suffolk, as well as on the other side of the English Channel at Calais and Brussels.
### Answer: The 2007 Kent earthquake registered 4.3 on the Richter scale and struck south east Kent, South East England on 28 April 2007 at 07:18:12 UTC (08:18:12 local time), at a shallow depth of 5.3 km.</s> |
What are some modern examples of companies that have harnessed the power of network effects? | In economics, a network effect (also called network externality or demand-side economies of scale) is the phenomenon by which the value or utility a user derives from a good or service depends on the number of users of compatible products. Network effects are typically positive, resulting in a given user deriving more value from a product as more users join the same network. The adoption of a product by an additional user can be broken into two effects: an increase in the value to all other users ( "total effect") and also the enhancement of other non-users' motivation for using the product ("marginal effect").
Network effects can be direct or indirect. Direct network effects arise when a given user's utility increases with the number of other users of the same product or technology, meaning that adoption of a product by different users is complementary. This effect is separate from effects related to price, such as a benefit to existing users resulting from price decreases as more users join. Direct network effects can be seen with social networking services, including Twitter, Facebook, Airbnb, Uber, and LinkedIn; telecommunications devices like the telephone; and instant messaging services such as MSN, AIM or QQ. Indirect (or cross-group) network effects arise when there are "at least two different customer groups that are interdependent, and the utility of at least one group grows as the other group(s) grow". For example, hardware may become more valuable to consumers with the growth of compatible software.
Network effects are commonly mistaken for economies of scale, which describe decreasing average production costs in relation to the total volume of units produced. Economies of scale are a common phenomenon in traditional industries such as manufacturing, whereas network effects are most prevalent in new economy industries, particularly information and communication technologies. Network effects are the demand side counterpart of economies of scale, as they function by increasing a customer's willingness to pay due rather than decreasing the supplier's average cost.
Upon reaching critical mass, a bandwagon effect can result. As the network continues to become more valuable with each new adopter, more people are incentivized to adopt, resulting in a positive feedback loop. Multiple equilibria and a market monopoly are two key potential outcomes in markets that exhibit network effects. Consumer expectations are key in determining which outcomes will result. | Examples of modern companies that have harnessed the power of network effects include social networking services such as: TikTok, Youtube, Twitter, Instagram, Facebook, Airbnb, Uber, and LinkedIn. | summarization | ### Instruction: What are some modern examples of companies that have harnessed the power of network effects?
### Context: In economics, a network effect (also called network externality or demand-side economies of scale) is the phenomenon by which the value or utility a user derives from a good or service depends on the number of users of compatible products. Network effects are typically positive, resulting in a given user deriving more value from a product as more users join the same network. The adoption of a product by an additional user can be broken into two effects: an increase in the value to all other users ( "total effect") and also the enhancement of other non-users' motivation for using the product ("marginal effect").
Network effects can be direct or indirect. Direct network effects arise when a given user's utility increases with the number of other users of the same product or technology, meaning that adoption of a product by different users is complementary. This effect is separate from effects related to price, such as a benefit to existing users resulting from price decreases as more users join. Direct network effects can be seen with social networking services, including Twitter, Facebook, Airbnb, Uber, and LinkedIn; telecommunications devices like the telephone; and instant messaging services such as MSN, AIM or QQ. Indirect (or cross-group) network effects arise when there are "at least two different customer groups that are interdependent, and the utility of at least one group grows as the other group(s) grow". For example, hardware may become more valuable to consumers with the growth of compatible software.
Network effects are commonly mistaken for economies of scale, which describe decreasing average production costs in relation to the total volume of units produced. Economies of scale are a common phenomenon in traditional industries such as manufacturing, whereas network effects are most prevalent in new economy industries, particularly information and communication technologies. Network effects are the demand side counterpart of economies of scale, as they function by increasing a customer's willingness to pay due rather than decreasing the supplier's average cost.
Upon reaching critical mass, a bandwagon effect can result. As the network continues to become more valuable with each new adopter, more people are incentivized to adopt, resulting in a positive feedback loop. Multiple equilibria and a market monopoly are two key potential outcomes in markets that exhibit network effects. Consumer expectations are key in determining which outcomes will result.
### Answer: Examples of modern companies that have harnessed the power of network effects include social networking services such as: TikTok, Youtube, Twitter, Instagram, Facebook, Airbnb, Uber, and LinkedIn.</s> |
Who is Joëlle Boutin? | Joëlle Boutin (born October 2, 1979) is a Canadian politician, who was elected to the National Assembly of Quebec in a byelection on December 2, 2019. She represents the electoral district of Jean-Talon as a member of the Coalition Avenir Québec. | Joëlle Boutin is a Canadian politician and member of the National Assembly of Quebec. She is a member of the Coalition Avenir Quebec and represents the electoral district of Jean-Talon. | summarization | ### Instruction: Who is Joëlle Boutin?
### Context: Joëlle Boutin (born October 2, 1979) is a Canadian politician, who was elected to the National Assembly of Quebec in a byelection on December 2, 2019. She represents the electoral district of Jean-Talon as a member of the Coalition Avenir Québec.
### Answer: Joëlle Boutin is a Canadian politician and member of the National Assembly of Quebec. She is a member of the Coalition Avenir Quebec and represents the electoral district of Jean-Talon.</s> |
What was the estimated Gini coefficient of South Africa during 2008-2009? | In economics, the Gini coefficient, also known as the Gini index or Gini ratio, is a measure of statistical dispersion intended to represent the income inequality or the wealth inequality or the consumption inequality within a nation or a social group. It was developed by statistician and sociologist Corrado Gini.
The Gini coefficient measures the inequality among values of a frequency distribution, such as levels of income. A Gini coefficient of 0 reflects perfect equality, where all income or wealth values are the same, while a Gini coefficient of 1 (or 100%) reflects maximal inequality among values. For example, if everyone has the same income, the Gini coefficient will be 0. In contrast, a Gini coefficient of 1 indicates that within a group of people, a single individual has all the income or consumption, while all others have none.
The Gini coefficient was proposed by Corrado Gini as a measure of inequality of income or wealth. For OECD countries, in the late 20th century, considering the effect of taxes and transfer payments, the income Gini coefficient ranged between 0.24 and 0.49, with Slovenia being the lowest and Mexico the highest. African countries had the highest pre-tax Gini coefficients in 2008–2009, with South Africa having the world's highest, estimated to be 0.63 to 0.7, although this figure drops to 0.52 after social assistance is taken into account, and drops again to 0.47 after taxation. The global income Gini coefficient in 2005 has been estimated to be between 0.61 and 0.68 by various sources. | In 2008–2009, the Gini coefficient for South Africa was estimated estimated to be 0.63 to 0.7. | summarization | ### Instruction: What was the estimated Gini coefficient of South Africa during 2008-2009?
### Context: In economics, the Gini coefficient, also known as the Gini index or Gini ratio, is a measure of statistical dispersion intended to represent the income inequality or the wealth inequality or the consumption inequality within a nation or a social group. It was developed by statistician and sociologist Corrado Gini.
The Gini coefficient measures the inequality among values of a frequency distribution, such as levels of income. A Gini coefficient of 0 reflects perfect equality, where all income or wealth values are the same, while a Gini coefficient of 1 (or 100%) reflects maximal inequality among values. For example, if everyone has the same income, the Gini coefficient will be 0. In contrast, a Gini coefficient of 1 indicates that within a group of people, a single individual has all the income or consumption, while all others have none.
The Gini coefficient was proposed by Corrado Gini as a measure of inequality of income or wealth. For OECD countries, in the late 20th century, considering the effect of taxes and transfer payments, the income Gini coefficient ranged between 0.24 and 0.49, with Slovenia being the lowest and Mexico the highest. African countries had the highest pre-tax Gini coefficients in 2008–2009, with South Africa having the world's highest, estimated to be 0.63 to 0.7, although this figure drops to 0.52 after social assistance is taken into account, and drops again to 0.47 after taxation. The global income Gini coefficient in 2005 has been estimated to be between 0.61 and 0.68 by various sources.
### Answer: In 2008–2009, the Gini coefficient for South Africa was estimated estimated to be 0.63 to 0.7.</s> |
Who is Carol Banawa? | Carol Claire Aguilar Banawa-Crisostomo (born March 4, 1981), better known in the Philippines as Carol Banawa, is a US-based Filipina singer, actress, and nurse. She is a Star Magic Batch 4 alumna. | Carol Claire Aguilar Banawa-Crisostomo (born March 4, 1981), better known in the Philippines as Carol Banawa, is a US-based Filipina singer, actress, and nurse. She is a Star Magic Batch 4 alumna.
Raised in Batangas, she has two siblings, Alexander and Cherry. Banawa started singing when she was a little girl while her family lived in Saudi Arabia. Her family then moved back to the Philippines. There, she was invited to join the new roster of ABS-CBN stars through the children-oriented show Ang TV.
She has performed at the Madison Square Garden in New York City at the 2003 New York Music Festival.
In 2010, she made her comeback in the music industry, and starred in the hit Philippine TV series, Mara Clara, where she sang the opening song of the said TV series. She also covered Till My Heartaches End, the theme song of the 2010 film of the same name.
In 2016, her song "Bakit 'Di Totohanin" was featured in one of the scenes of the U.S. drama series The Vampire Diaries. | summarization | ### Instruction: Who is Carol Banawa?
### Context: Carol Claire Aguilar Banawa-Crisostomo (born March 4, 1981), better known in the Philippines as Carol Banawa, is a US-based Filipina singer, actress, and nurse. She is a Star Magic Batch 4 alumna.
### Answer: Carol Claire Aguilar Banawa-Crisostomo (born March 4, 1981), better known in the Philippines as Carol Banawa, is a US-based Filipina singer, actress, and nurse. She is a Star Magic Batch 4 alumna.
Raised in Batangas, she has two siblings, Alexander and Cherry. Banawa started singing when she was a little girl while her family lived in Saudi Arabia. Her family then moved back to the Philippines. There, she was invited to join the new roster of ABS-CBN stars through the children-oriented show Ang TV.
She has performed at the Madison Square Garden in New York City at the 2003 New York Music Festival.
In 2010, she made her comeback in the music industry, and starred in the hit Philippine TV series, Mara Clara, where she sang the opening song of the said TV series. She also covered Till My Heartaches End, the theme song of the 2010 film of the same name.
In 2016, her song "Bakit 'Di Totohanin" was featured in one of the scenes of the U.S. drama series The Vampire Diaries.</s> |
List down some facts about Shandao temple using given passage as a reference | Shandao Temple (formerly transliterated as Shantao Temple Station until 2003), secondary station name Huashan, is a station on the Bannan line of Taipei Metro in Zhongzheng District, Taipei, Taiwan. It is named after the Shandao Temple. | 1. Shandao Temple, also known as Huashan, is a station on the Bannan line of the Taipei Metro in the Zhongzheng District of Taipei, Taiwan. It was formerly transliterated as Shantao Temple Station until 2003.
2. It bears the Shandao Temple's name. | summarization | ### Instruction: List down some facts about Shandao temple using given passage as a reference
### Context: Shandao Temple (formerly transliterated as Shantao Temple Station until 2003), secondary station name Huashan, is a station on the Bannan line of Taipei Metro in Zhongzheng District, Taipei, Taiwan. It is named after the Shandao Temple.
### Answer: 1. Shandao Temple, also known as Huashan, is a station on the Bannan line of the Taipei Metro in the Zhongzheng District of Taipei, Taiwan. It was formerly transliterated as Shantao Temple Station until 2003.
2. It bears the Shandao Temple's name.</s> |
Who is Anne Francis? | Anne Francis, née Gittins (1738 – 7 November 1800) was an English classical scholar and poet. She is notable for a poetic translation of the Bible's Song of Songs that focuses on the dramatic action of the song, rather than its Christian allegorical interpretation.
Anne Gittins was born in 1738 as the daughter of the Rev. Daniel Gittins, rector of South Stoke, near Arundel, Sussex. She was educated by her father in the classics and Hebrew. She married the Rev. Robert Bransby Francis, rector of Edgefield, near Holt, Norfolk.
Though she lacked formal classical training, Anne Francis was in contact with the leading Old Testament scholars of the time: her Poetical Translation of the Song of Songs was dedicated to John Parkhurst, and other subscribers included Robert Lowth and Benjamin Kennicott. The Poetical Translation focused on what she saw as the direct dramatic action of the song, rather than its Christian allegorical interpretation. Taking a cue from Thomas Harmer, Francis distinguished the voice of an "Egyptian Spouse" from that of a "Jewish Queen": in this love triangle, Solomon's marriage to the daughter of Pharaoh being resented by an earlier wife.
Francis's translation has not received much continuing attention. Yet in the verdict of one recent commentator, Francis's "insistence on bringing together learning and feeling, what she knew as male and female worlds, makes her Song of Songs an outstanding feminist monument."
In 1787, Francis changed publishers to raise her voice in response to Goethe's "Charlotte to Werther. A Poetical Epistle". Throughout the 1790s, she further strengthened the reactionary side of the political divide by periodically publishing work.
Despite Francis's lack of formal education, she aided in efforts to adapt French and German playscripts, as did various other female writers.
Anne Francis died on 7 November 1800, at the age of 62. | Anne Francis, née Gittins (1738 – 7 November 1800) was an English classical scholar and poet. She is notable for a poetic translation of the Bible's Song of Songs that focuses on the dramatic action of the song, rather than its Christian allegorical interpretation.
Anne Gittins was born in 1738 as the daughter of the Rev. Daniel Gittins, rector of South Stoke, near Arundel, Sussex. She was educated by her father in the classics and Hebrew. She married the Rev. Robert Bransby Francis, rector of Edgefield, near Holt, Norfolk.
Though she lacked formal classical training, Anne Francis was in contact with the leading Old Testament scholars of the time: her Poetical Translation of the Song of Songs was dedicated to John Parkhurst, and other subscribers included Robert Lowth and Benjamin Kennicott. The Poetical Translation focused on what she saw as the direct dramatic action of the song, rather than its Christian allegorical interpretation. Taking a cue from Thomas Harmer, Francis distinguished the voice of an "Egyptian Spouse" from that of a "Jewish Queen": in this love triangle, Solomon's marriage to the daughter of Pharaoh being resented by an earlier wife.
Francis's translation has not received much continuing attention. Yet in the verdict of one recent commentator, Francis's "insistence on bringing together learning and feeling, what she knew as male and female worlds, makes her Song of Songs an outstanding feminist monument."
In 1787, Francis changed publishers to raise her voice in response to Goethe's "Charlotte to Werther. A Poetical Epistle". Throughout the 1790s, she further strengthened the reactionary side of the political divide by periodically publishing work.
Despite Francis's lack of formal education, she aided in efforts to adapt French and German playscripts, as did various other female writers.
Anne Francis died on 7 November 1800, at the age of 62. | summarization | ### Instruction: Who is Anne Francis?
### Context: Anne Francis, née Gittins (1738 – 7 November 1800) was an English classical scholar and poet. She is notable for a poetic translation of the Bible's Song of Songs that focuses on the dramatic action of the song, rather than its Christian allegorical interpretation.
Anne Gittins was born in 1738 as the daughter of the Rev. Daniel Gittins, rector of South Stoke, near Arundel, Sussex. She was educated by her father in the classics and Hebrew. She married the Rev. Robert Bransby Francis, rector of Edgefield, near Holt, Norfolk.
Though she lacked formal classical training, Anne Francis was in contact with the leading Old Testament scholars of the time: her Poetical Translation of the Song of Songs was dedicated to John Parkhurst, and other subscribers included Robert Lowth and Benjamin Kennicott. The Poetical Translation focused on what she saw as the direct dramatic action of the song, rather than its Christian allegorical interpretation. Taking a cue from Thomas Harmer, Francis distinguished the voice of an "Egyptian Spouse" from that of a "Jewish Queen": in this love triangle, Solomon's marriage to the daughter of Pharaoh being resented by an earlier wife.
Francis's translation has not received much continuing attention. Yet in the verdict of one recent commentator, Francis's "insistence on bringing together learning and feeling, what she knew as male and female worlds, makes her Song of Songs an outstanding feminist monument."
In 1787, Francis changed publishers to raise her voice in response to Goethe's "Charlotte to Werther. A Poetical Epistle". Throughout the 1790s, she further strengthened the reactionary side of the political divide by periodically publishing work.
Despite Francis's lack of formal education, she aided in efforts to adapt French and German playscripts, as did various other female writers.
Anne Francis died on 7 November 1800, at the age of 62.
### Answer: Anne Francis, née Gittins (1738 – 7 November 1800) was an English classical scholar and poet. She is notable for a poetic translation of the Bible's Song of Songs that focuses on the dramatic action of the song, rather than its Christian allegorical interpretation.
Anne Gittins was born in 1738 as the daughter of the Rev. Daniel Gittins, rector of South Stoke, near Arundel, Sussex. She was educated by her father in the classics and Hebrew. She married the Rev. Robert Bransby Francis, rector of Edgefield, near Holt, Norfolk.
Though she lacked formal classical training, Anne Francis was in contact with the leading Old Testament scholars of the time: her Poetical Translation of the Song of Songs was dedicated to John Parkhurst, and other subscribers included Robert Lowth and Benjamin Kennicott. The Poetical Translation focused on what she saw as the direct dramatic action of the song, rather than its Christian allegorical interpretation. Taking a cue from Thomas Harmer, Francis distinguished the voice of an "Egyptian Spouse" from that of a "Jewish Queen": in this love triangle, Solomon's marriage to the daughter of Pharaoh being resented by an earlier wife.
Francis's translation has not received much continuing attention. Yet in the verdict of one recent commentator, Francis's "insistence on bringing together learning and feeling, what she knew as male and female worlds, makes her Song of Songs an outstanding feminist monument."
In 1787, Francis changed publishers to raise her voice in response to Goethe's "Charlotte to Werther. A Poetical Epistle". Throughout the 1790s, she further strengthened the reactionary side of the political divide by periodically publishing work.
Despite Francis's lack of formal education, she aided in efforts to adapt French and German playscripts, as did various other female writers.
Anne Francis died on 7 November 1800, at the age of 62.</s> |
Did Trump lose the 2020 presidential election? | Trump lost the 2020 presidential election to Joe Biden but refused to concede defeat, falsely claiming widespread electoral fraud and attempting to overturn the results by pressuring government officials, mounting scores of unsuccessful legal challenges, and obstructing the presidential transition. On January 6, 2021, Trump urged his supporters to march to the U.S. Capitol, which many of them then attacked, resulting in multiple deaths and interrupting the electoral vote count. | Yes. Trump lost the 2020 presidential election, but refused to concede defeat. He furthermore urged his supporters to commit insurrection and attack the U.S. Capitol on January 6th 2021. | summarization | ### Instruction: Did Trump lose the 2020 presidential election?
### Context: Trump lost the 2020 presidential election to Joe Biden but refused to concede defeat, falsely claiming widespread electoral fraud and attempting to overturn the results by pressuring government officials, mounting scores of unsuccessful legal challenges, and obstructing the presidential transition. On January 6, 2021, Trump urged his supporters to march to the U.S. Capitol, which many of them then attacked, resulting in multiple deaths and interrupting the electoral vote count.
### Answer: Yes. Trump lost the 2020 presidential election, but refused to concede defeat. He furthermore urged his supporters to commit insurrection and attack the U.S. Capitol on January 6th 2021.</s> |
Give me some of the most famous characters Marvel Comics has produced from this list. | Marvel counts among its characters such well-known superheroes as Spider-Man, Iron Man, Captain America, Thor, Doctor Strange, Hulk, Daredevil, Wolverine, Black Panther and Captain Marvel, as well as popular superhero teams such as the Avengers, X-Men, Fantastic Four, and Guardians of the Galaxy. Its stable of well-known supervillains includes the likes of Doctor Doom, Magneto, Ultron, Thanos, Kang the Conqueror, Green Goblin, Galactus, Loki, and Kingpin. Most of Marvel's fictional characters operate in a single reality known as the Marvel Universe, with most locations mirroring real-life places; many major characters are based in New York City, New York, United States. Additionally, Marvel has published several licensed properties from other companies. This includes Star Wars comics twice from 1977 to 1986 and again since 2015. | Some of the most famous characters Marvel have produced include Spider-Man, Iron Man, Captain America, Thor, Doctor Strange, Hulk, and Wolverine. These characters are often affiliated with teams of superheroes, such as the Avengers, X-Men, Fantastic Four, and Guardians of the Galaxy. | summarization | ### Instruction: Give me some of the most famous characters Marvel Comics has produced from this list.
### Context: Marvel counts among its characters such well-known superheroes as Spider-Man, Iron Man, Captain America, Thor, Doctor Strange, Hulk, Daredevil, Wolverine, Black Panther and Captain Marvel, as well as popular superhero teams such as the Avengers, X-Men, Fantastic Four, and Guardians of the Galaxy. Its stable of well-known supervillains includes the likes of Doctor Doom, Magneto, Ultron, Thanos, Kang the Conqueror, Green Goblin, Galactus, Loki, and Kingpin. Most of Marvel's fictional characters operate in a single reality known as the Marvel Universe, with most locations mirroring real-life places; many major characters are based in New York City, New York, United States. Additionally, Marvel has published several licensed properties from other companies. This includes Star Wars comics twice from 1977 to 1986 and again since 2015.
### Answer: Some of the most famous characters Marvel have produced include Spider-Man, Iron Man, Captain America, Thor, Doctor Strange, Hulk, and Wolverine. These characters are often affiliated with teams of superheroes, such as the Avengers, X-Men, Fantastic Four, and Guardians of the Galaxy.</s> |
When was The Palpable Leprosy of Pollution released? | Infant Annihilator are an English deathcore band formed in Hull, East Riding of Yorkshire in 2012 by drummer Aaron Kitcher and guitarist Eddie Pickard. The band are known for their technical, eclectic and extreme musical style; parodistic and satirically graphic lyrical content and shock humour; and music videos that feature ribald themes.
Their debut album The Palpable Leprosy of Pollution, which features the American vocalist Dan Watson, was released in late 2012. After replacing their vocalist with Massachusetts-native Dickie Allen, their second album The Elysian Grandeval Galèriarch was recorded and mixed by Jesse Kirkbride at his home studio Kirkbride Recordings and was released in 2016. Their third album, The Battle of Yaldabaoth, was released on 11 September 2019.
Infant Annihilator were described by the Hysteria Magazine as an internet band and even though they have stated that touring is a possibility, they have performed only as a studio project so far. | The album The Palpable Leprosy of Pollution was released in late 2012 featuring the American vocalist Dan Watson. | summarization | ### Instruction: When was The Palpable Leprosy of Pollution released?
### Context: Infant Annihilator are an English deathcore band formed in Hull, East Riding of Yorkshire in 2012 by drummer Aaron Kitcher and guitarist Eddie Pickard. The band are known for their technical, eclectic and extreme musical style; parodistic and satirically graphic lyrical content and shock humour; and music videos that feature ribald themes.
Their debut album The Palpable Leprosy of Pollution, which features the American vocalist Dan Watson, was released in late 2012. After replacing their vocalist with Massachusetts-native Dickie Allen, their second album The Elysian Grandeval Galèriarch was recorded and mixed by Jesse Kirkbride at his home studio Kirkbride Recordings and was released in 2016. Their third album, The Battle of Yaldabaoth, was released on 11 September 2019.
Infant Annihilator were described by the Hysteria Magazine as an internet band and even though they have stated that touring is a possibility, they have performed only as a studio project so far.
### Answer: The album The Palpable Leprosy of Pollution was released in late 2012 featuring the American vocalist Dan Watson.</s> |
Please tell me about burgundy wine | Burgundy wine (French: Bourgogne or vin de Bourgogne) is made in the Burgundy region of eastern France, in the valleys and slopes west of the Saône, a tributary of the Rhône. The most famous wines produced here, and those commonly referred to as "Burgundies," are dry red wines made from pinot noir grapes and white wines made from chardonnay grapes.
Burgundy has a higher number of appellations d'origine contrôlée (AOCs) than any other French region, and is often seen as the most terroir-conscious of the French wine regions. The various Burgundy AOCs are classified from carefully delineated grand cru vineyards down to more non-specific regional appellations.
There are 100 Appellations in Burgundy and these are classified into four quality categories. These are Bourgogne, village, premier cru and grand cru. | Burgundy wine aka Bourgogne in French is made in Burgundy region of eastern France. The most famous red wines coming out of this region are dry and made out of red pinot noir grapes and white wines are from chardonnay grapes. There are 100 Appellations in Burgundy and these are classified into four categories - Bourgogne, village, premier cru and grand cru. | summarization | ### Instruction: Please tell me about burgundy wine
### Context: Burgundy wine (French: Bourgogne or vin de Bourgogne) is made in the Burgundy region of eastern France, in the valleys and slopes west of the Saône, a tributary of the Rhône. The most famous wines produced here, and those commonly referred to as "Burgundies," are dry red wines made from pinot noir grapes and white wines made from chardonnay grapes.
Burgundy has a higher number of appellations d'origine contrôlée (AOCs) than any other French region, and is often seen as the most terroir-conscious of the French wine regions. The various Burgundy AOCs are classified from carefully delineated grand cru vineyards down to more non-specific regional appellations.
There are 100 Appellations in Burgundy and these are classified into four quality categories. These are Bourgogne, village, premier cru and grand cru.
### Answer: Burgundy wine aka Bourgogne in French is made in Burgundy region of eastern France. The most famous red wines coming out of this region are dry and made out of red pinot noir grapes and white wines are from chardonnay grapes. There are 100 Appellations in Burgundy and these are classified into four categories - Bourgogne, village, premier cru and grand cru.</s> |
What did Ralph Agas did as a profession? | Ralph Agas (or Radulph Agas) (c. 1540 – 26 November 1621) was an English land surveyor and cartographer. He was born at Stoke-by-Nayland, Suffolk, in about 1540, and lived there throughout his life, although he travelled regularly to London. He began to practise as a surveyor in about 1566, and has been described as "one of the leaders of the emerging body of skilled land surveyors".
Agas is particularly known for his large-scale town map of Oxford (surveyed 1578, published 1588). Early maps of London and Cambridge were also formerly attributed to him, but these attributions are no longer upheld. | Ralph Agas was an English land surveyor and cartographer, he was born at Stoke-by-Nayland, Suffolk. | summarization | ### Instruction: What did Ralph Agas did as a profession?
### Context: Ralph Agas (or Radulph Agas) (c. 1540 – 26 November 1621) was an English land surveyor and cartographer. He was born at Stoke-by-Nayland, Suffolk, in about 1540, and lived there throughout his life, although he travelled regularly to London. He began to practise as a surveyor in about 1566, and has been described as "one of the leaders of the emerging body of skilled land surveyors".
Agas is particularly known for his large-scale town map of Oxford (surveyed 1578, published 1588). Early maps of London and Cambridge were also formerly attributed to him, but these attributions are no longer upheld.
### Answer: Ralph Agas was an English land surveyor and cartographer, he was born at Stoke-by-Nayland, Suffolk.</s> |
From this paragraph, what are indicators that Singapore's healthcare system performs well? | Singapore has a generally efficient healthcare system, even though health expenditures are relatively low for developed countries. The World Health Organisation ranks Singapore's healthcare system as 6th overall in the world in its World Health Report. Singapore has had the lowest infant mortality rates in the world for the past two decades. In 2019, Singaporeans had the longest life expectancy of any country at 84.8 years. Women can expect to live an average of 87.6 years with 75.8 years in good health. The averages are lower for men. Singapore is ranked 1st on the Global Food Security Index. | For the last two decades, Singapore has had the world's lowest infant mortality rates. Additionally, in 2019, Singapore had the world's longest life expectancy. | summarization | ### Instruction: From this paragraph, what are indicators that Singapore's healthcare system performs well?
### Context: Singapore has a generally efficient healthcare system, even though health expenditures are relatively low for developed countries. The World Health Organisation ranks Singapore's healthcare system as 6th overall in the world in its World Health Report. Singapore has had the lowest infant mortality rates in the world for the past two decades. In 2019, Singaporeans had the longest life expectancy of any country at 84.8 years. Women can expect to live an average of 87.6 years with 75.8 years in good health. The averages are lower for men. Singapore is ranked 1st on the Global Food Security Index.
### Answer: For the last two decades, Singapore has had the world's lowest infant mortality rates. Additionally, in 2019, Singapore had the world's longest life expectancy.</s> |
Which artist recorded the album Moonlight Madness? | Moonlight Madness is the second studio album by singer Teri DeSario, released in 1979 by Casablanca Records and Filmworks (NBLP-7178). It includes the hit single "Yes, I'm Ready", a duet with K.C. of KC and the Sunshine Band.
The album contains mostly disco music, including "Dancin' in the Streets" and "I'm Ready". | Singer Teri DeSario recorded Moonlight Madness, tracks on the album are mostly in the disco music category and includes the hit single Yes I’m Ready and Dancin in the Streets.
The album was first released on sale in 1979 on Casablanca Records and Moonlight Madness was the second studio album recorded by DeSario. | summarization | ### Instruction: Which artist recorded the album Moonlight Madness?
### Context: Moonlight Madness is the second studio album by singer Teri DeSario, released in 1979 by Casablanca Records and Filmworks (NBLP-7178). It includes the hit single "Yes, I'm Ready", a duet with K.C. of KC and the Sunshine Band.
The album contains mostly disco music, including "Dancin' in the Streets" and "I'm Ready".
### Answer: Singer Teri DeSario recorded Moonlight Madness, tracks on the album are mostly in the disco music category and includes the hit single Yes I’m Ready and Dancin in the Streets.
The album was first released on sale in 1979 on Casablanca Records and Moonlight Madness was the second studio album recorded by DeSario.</s> |
What is Xenohormone normally used for? | Xenohormones are found in a variety of different consumer products, agricultural products, and chemicals. Common sources of Xenohormones include:
Contraceptives and Hormone Therapies
Xenohormones and xenoestrogens are commonly used in oral contraceptives such as birth control pills and hormone replacement therapies due to their similarities to natural hormones.
Agriculture
Synthetic estrogenic drugs such as the bovine growth hormone (BVG) are commonly used to increase the size of cattle and maximize the amount of meat and dairy product that can come from them. Xenohormones are also found in certain pesticides, herbicides, and fungicides.
Plastics
Xenohormones are found in almost all plastics, and they appear in many consumer products that use plastic elements or plastic packaging. Common xenohormones in plastics and other industrial compounds include BPA, Phthalates, PVC, and PCBs. These can be found in several household items, including plastic dishes and utensils, Styrofoam, cling wrap, flooring, toys, and other items containing plastic or plasticizers. In 2000, the FDA banned the use of phthalates in baby toys due to health concerns.
Cleaning and Cosmetic Products
Many household products can contain certain xenohormones, including laundry detergent, fabric softeners, soap, shampoo, toothpaste, makeup and cosmetic products, feminine hygiene products | Xenohormone is widely used for different applications, including: Contraceptives and Hormone Therapies, Agriculture, Plastics, and Cleaning and Cosmetic Products. | summarization | ### Instruction: What is Xenohormone normally used for?
### Context: Xenohormones are found in a variety of different consumer products, agricultural products, and chemicals. Common sources of Xenohormones include:
Contraceptives and Hormone Therapies
Xenohormones and xenoestrogens are commonly used in oral contraceptives such as birth control pills and hormone replacement therapies due to their similarities to natural hormones.
Agriculture
Synthetic estrogenic drugs such as the bovine growth hormone (BVG) are commonly used to increase the size of cattle and maximize the amount of meat and dairy product that can come from them. Xenohormones are also found in certain pesticides, herbicides, and fungicides.
Plastics
Xenohormones are found in almost all plastics, and they appear in many consumer products that use plastic elements or plastic packaging. Common xenohormones in plastics and other industrial compounds include BPA, Phthalates, PVC, and PCBs. These can be found in several household items, including plastic dishes and utensils, Styrofoam, cling wrap, flooring, toys, and other items containing plastic or plasticizers. In 2000, the FDA banned the use of phthalates in baby toys due to health concerns.
Cleaning and Cosmetic Products
Many household products can contain certain xenohormones, including laundry detergent, fabric softeners, soap, shampoo, toothpaste, makeup and cosmetic products, feminine hygiene products
### Answer: Xenohormone is widely used for different applications, including: Contraceptives and Hormone Therapies, Agriculture, Plastics, and Cleaning and Cosmetic Products.</s> |
What were the Crusades? | The Crusades were a series of religious wars initiated, supported, and sometimes directed by the Latin Church in the medieval period. The best known of these military expeditions are those to the Holy Land in the period between 1095 and 1291 that were intended to conquer Jerusalem and its surrounding area from Muslim rule. Beginning with the First Crusade, which resulted in the conquest of Jerusalem in 1099, dozens of military campaigns were organised, providing a focal point of European history for centuries. Crusading declined rapidly after the 15th century. | The Crusades collectively refer religious wars in the medieval times. The Crusades are famously know today for expeditions into the Muslim Holy Land to capture lands in the name of European kings and religion from 1095-1291. | summarization | ### Instruction: What were the Crusades?
### Context: The Crusades were a series of religious wars initiated, supported, and sometimes directed by the Latin Church in the medieval period. The best known of these military expeditions are those to the Holy Land in the period between 1095 and 1291 that were intended to conquer Jerusalem and its surrounding area from Muslim rule. Beginning with the First Crusade, which resulted in the conquest of Jerusalem in 1099, dozens of military campaigns were organised, providing a focal point of European history for centuries. Crusading declined rapidly after the 15th century.
### Answer: The Crusades collectively refer religious wars in the medieval times. The Crusades are famously know today for expeditions into the Muslim Holy Land to capture lands in the name of European kings and religion from 1095-1291.</s> |
How large is the Tennessee River? | The Tennessee River is the largest tributary of the Ohio River. It is approximately 652 miles (1,049 km) long and is located in the southeastern United States in the Tennessee Valley. The river was once popularly known as the Cherokee River, among other names, as the Cherokee people had their homelands along its banks, especially in what are now East Tennessee and northern Alabama. Additionally, its tributary, the Little Tennessee River, flows into it from Western North Carolina and northeastern Georgia, where the river also was bordered by numerous Cherokee towns. Its current name is derived from the Cherokee town, Tanasi, which was located on the Tennessee side of the Appalachian Mountains | The Tennessee River is the largest tributary of the Ohio River. It is approximately 650 miles long and located in the southeaster United States. The river is used for moving cargo and has a long history of enjoyment by families residing on the bank. A great section of the river is located near Spring City, TN at the Watts Barr Dam | summarization | ### Instruction: How large is the Tennessee River?
### Context: The Tennessee River is the largest tributary of the Ohio River. It is approximately 652 miles (1,049 km) long and is located in the southeastern United States in the Tennessee Valley. The river was once popularly known as the Cherokee River, among other names, as the Cherokee people had their homelands along its banks, especially in what are now East Tennessee and northern Alabama. Additionally, its tributary, the Little Tennessee River, flows into it from Western North Carolina and northeastern Georgia, where the river also was bordered by numerous Cherokee towns. Its current name is derived from the Cherokee town, Tanasi, which was located on the Tennessee side of the Appalachian Mountains
### Answer: The Tennessee River is the largest tributary of the Ohio River. It is approximately 650 miles long and located in the southeaster United States. The river is used for moving cargo and has a long history of enjoyment by families residing on the bank. A great section of the river is located near Spring City, TN at the Watts Barr Dam</s> |
Who was the first player sent off during a soccer match? | This is a list of all occasions where a football player was sent off from a FIFA World Cup match due to a foul or misconduct, either as a direct expulsion (red card) or as a second caution (yellow card) within the match.
This list includes all dismissals since the first World Cup in 1930. The use of physical red and yellow cards to respectively indicate dismissals and cautions is a later invention, having been introduced at the 1970 tournament.
Only players are listed, even if they were at the substitutes' bench at the time of the sending off. Managers and other technical staff members are not covered.
Statistics
Plácido Galindo was the first player to be sent off in a World Cup match, playing for Peru against Romania in a 1930 match officiated by Alberto Warnken. Although physical red cards were introduced from 1970, they were not put in practice until the 1974 World Cup, when referee Doğan Babacan sent off Chile's Carlos Caszely during a match against West Germany.
Two players have received red cards twice: Cameroon's Rigobert Song (1994 and 1998) and France's Zinedine Zidane (1998 and 2006).
Five dismissals have taken place during final matches: Argentina's Pedro Monzón and Gustavo Dezotti (both 1990), France's Marcel Desailly (1998) and Zinedine Zidane (2006), and John Heitinga of the Netherlands (2010).
Uruguay's José Batista received the quickest red card, in the first minute in a game against Scotland in 1986.
A few expulsions either took place after the final whistle of the match or were awarded to players at the substitutes' bench (or both), and thus did not reduce the number of players on the pitch during the game. Two of them, that of Leandro Cufré of Argentina (vs Germany, 2006) and that of Denzel Dumfries of the Netherlands (vs Argentina, 2022), took place after the penalty shoot-outs of knockout matches, making them the latest red cards.
Three goalkeepers have been sent off in the tournament: Italy's Gianluca Pagliuca (1994), South Africa's Itumeleng Khune (2010), and Wales's Wayne Hennessey (2022).
The match with the most dismissals was Portugal vs Netherlands of 2006, when referee Valentin Ivanov dished out 4 red cards, 2 for each team.
The referee who has sent off the most players is Arturo Brizio Carter, 7 red cards, in 5 different matches (also a record).
The team that has the greatest number of expulsed players is Brazil, with 11 – in 9 different matches, a record shared with Argentina. The team whose opponents have received the most red cards is Germany (incl. West Germany), with 20 – in 18 different matches, also a record.
The 2006 World Cup had the highest amount of red cards: a total of 28 players were sent off (in 20 matches, also a record). | Plácido Galindo was the first player to be sent off in a World Cup match, playing for Peru against Romania in a 1930 match officiated by Alberto Warnken. Although physical red cards were introduced from 1970, they were not put in practice until the 1974 World Cup, when referee Doğan Babacan sent off Chile's Carlos Caszely during a match against West Germany. | summarization | ### Instruction: Who was the first player sent off during a soccer match?
### Context: This is a list of all occasions where a football player was sent off from a FIFA World Cup match due to a foul or misconduct, either as a direct expulsion (red card) or as a second caution (yellow card) within the match.
This list includes all dismissals since the first World Cup in 1930. The use of physical red and yellow cards to respectively indicate dismissals and cautions is a later invention, having been introduced at the 1970 tournament.
Only players are listed, even if they were at the substitutes' bench at the time of the sending off. Managers and other technical staff members are not covered.
Statistics
Plácido Galindo was the first player to be sent off in a World Cup match, playing for Peru against Romania in a 1930 match officiated by Alberto Warnken. Although physical red cards were introduced from 1970, they were not put in practice until the 1974 World Cup, when referee Doğan Babacan sent off Chile's Carlos Caszely during a match against West Germany.
Two players have received red cards twice: Cameroon's Rigobert Song (1994 and 1998) and France's Zinedine Zidane (1998 and 2006).
Five dismissals have taken place during final matches: Argentina's Pedro Monzón and Gustavo Dezotti (both 1990), France's Marcel Desailly (1998) and Zinedine Zidane (2006), and John Heitinga of the Netherlands (2010).
Uruguay's José Batista received the quickest red card, in the first minute in a game against Scotland in 1986.
A few expulsions either took place after the final whistle of the match or were awarded to players at the substitutes' bench (or both), and thus did not reduce the number of players on the pitch during the game. Two of them, that of Leandro Cufré of Argentina (vs Germany, 2006) and that of Denzel Dumfries of the Netherlands (vs Argentina, 2022), took place after the penalty shoot-outs of knockout matches, making them the latest red cards.
Three goalkeepers have been sent off in the tournament: Italy's Gianluca Pagliuca (1994), South Africa's Itumeleng Khune (2010), and Wales's Wayne Hennessey (2022).
The match with the most dismissals was Portugal vs Netherlands of 2006, when referee Valentin Ivanov dished out 4 red cards, 2 for each team.
The referee who has sent off the most players is Arturo Brizio Carter, 7 red cards, in 5 different matches (also a record).
The team that has the greatest number of expulsed players is Brazil, with 11 – in 9 different matches, a record shared with Argentina. The team whose opponents have received the most red cards is Germany (incl. West Germany), with 20 – in 18 different matches, also a record.
The 2006 World Cup had the highest amount of red cards: a total of 28 players were sent off (in 20 matches, also a record).
### Answer: Plácido Galindo was the first player to be sent off in a World Cup match, playing for Peru against Romania in a 1930 match officiated by Alberto Warnken. Although physical red cards were introduced from 1970, they were not put in practice until the 1974 World Cup, when referee Doğan Babacan sent off Chile's Carlos Caszely during a match against West Germany.</s> |
What is the CGRO that detects photons? | The Compton Gamma Ray Observatory (CGRO) was a space observatory detecting photons with energies from 20 keV to 30 GeV, in Earth orbit from 1991 to 2000. The observatory featured four main telescopes in one spacecraft, covering X-rays and gamma rays, including various specialized sub-instruments and detectors. Following 14 years of effort, the observatory was launched from Space Shuttle Atlantis during STS-37 on April 5, 1991, and operated until its deorbit on June 4, 2000. It was deployed in low Earth orbit at 450 km (280 mi) to avoid the Van Allen radiation belt. It was the heaviest astrophysical payload ever flown at that time at 17,000 kilograms (37,000 lb). | The CGRO is the Compton Gamma Ray Observatory (CGRO) and was a space observatory detecting photons with energies from 20 keV to 30GeV in earth from 1991 to 2000. | summarization | ### Instruction: What is the CGRO that detects photons?
### Context: The Compton Gamma Ray Observatory (CGRO) was a space observatory detecting photons with energies from 20 keV to 30 GeV, in Earth orbit from 1991 to 2000. The observatory featured four main telescopes in one spacecraft, covering X-rays and gamma rays, including various specialized sub-instruments and detectors. Following 14 years of effort, the observatory was launched from Space Shuttle Atlantis during STS-37 on April 5, 1991, and operated until its deorbit on June 4, 2000. It was deployed in low Earth orbit at 450 km (280 mi) to avoid the Van Allen radiation belt. It was the heaviest astrophysical payload ever flown at that time at 17,000 kilograms (37,000 lb).
### Answer: The CGRO is the Compton Gamma Ray Observatory (CGRO) and was a space observatory detecting photons with energies from 20 keV to 30GeV in earth from 1991 to 2000.</s> |
List some import aspects about location Ljubija in given text | In the 19th century, Ljubija developed into one of the most important locations for the area's economy due to its iron ore deposits. After World War II Ljubija became one of the largest iron mines in the world which employed more than 5,000 people at any one time. Until 1963 it was governed as a separate municipality, before it was merged with Prijedor. | 1. Because of its iron ore resources, Ljubija became one of the most significant destinations for the region's economy in the 19th century.
2. Ljubija grew to be one of the world's largest iron mines after World War II, employing more than 5,000 people at any given moment.
3. Prior to being amalgamated with Prijedor, it was governed as an independent municipality until 1963. | summarization | ### Instruction: List some import aspects about location Ljubija in given text
### Context: In the 19th century, Ljubija developed into one of the most important locations for the area's economy due to its iron ore deposits. After World War II Ljubija became one of the largest iron mines in the world which employed more than 5,000 people at any one time. Until 1963 it was governed as a separate municipality, before it was merged with Prijedor.
### Answer: 1. Because of its iron ore resources, Ljubija became one of the most significant destinations for the region's economy in the 19th century.
2. Ljubija grew to be one of the world's largest iron mines after World War II, employing more than 5,000 people at any given moment.
3. Prior to being amalgamated with Prijedor, it was governed as an independent municipality until 1963.</s> |
Based on the reference text, who were the main parties who supported and opposed Prop 22? | 2020 California Proposition 22
Support
Lyft, Uber, DoorDash, Instacart, and Postmates contributed over $205 million into campaigns supporting Prop 22, making it the most expensive ballot measure in California's history. This included major funding for the Yes on Prop 22 campaign, and promoting the proposed legislation directly to customers when using their app. Beyond in-app messaging, Uber and Lyft also conducted extensive social media and television advertising to persuade voters. Such advertisements informed voters that a "no" outcome for the proposition would put many drivers' occupations in jeopardy, among other messages.
Sponsored support
Some of the companies also forced their workers to support and promote the legislation: Uber sent its drivers in-app messages forcing them to click on either "Yes on Prop 22" or "OK", Instacart ordered its workers to place pro-Prop 22 stickers in customers' shopping bags, and DoorDash forced delivery drivers to use bags saying "Yes on 22".
Title litigation
The ballot title, written by Attorney General Xavier Becerra, is "Exempts App-Based Transportation and Delivery Companies from Providing Employee Benefits to Certain Drivers. Initiative Statute". The Yes on Prop 22 campaign challenged this description as non-neutral in court, but their arguments were rejected by a Sacramento Superior Court judge.
Opposition
The No on Prop 22 campaign was funded by the California Labor Federation, with support from UC Berkeley Labor Center. The campaign received around $19 million in support, mostly from labor groups. Driver groups Rideshare Drivers United, Gig Workers Rising, We Drive Progress, and Mobile Workers United, spoke out against Prop 22. Editorial boards from the New York Times and Los Angeles Times also called on voters to reject Prop 22.
The proposition would add protections specific to app-based workers, different from other independent contractors, but these protections would only apply during the time the worker is "engaged" in fulfilling a specific request and not while the worker is logged in to the app and available to fulfill a request. | The main parties to support Prop 22 included Lyft, Uber, Doordash, Instacart, and Postmates. The main parties to oppose Prop 22 included California Labor Federation, Rideshare Drivers United, Gig Workers Rising, We Drive Progress, and Mobile Workers United. | summarization | ### Instruction: Based on the reference text, who were the main parties who supported and opposed Prop 22?
### Context: 2020 California Proposition 22
Support
Lyft, Uber, DoorDash, Instacart, and Postmates contributed over $205 million into campaigns supporting Prop 22, making it the most expensive ballot measure in California's history. This included major funding for the Yes on Prop 22 campaign, and promoting the proposed legislation directly to customers when using their app. Beyond in-app messaging, Uber and Lyft also conducted extensive social media and television advertising to persuade voters. Such advertisements informed voters that a "no" outcome for the proposition would put many drivers' occupations in jeopardy, among other messages.
Sponsored support
Some of the companies also forced their workers to support and promote the legislation: Uber sent its drivers in-app messages forcing them to click on either "Yes on Prop 22" or "OK", Instacart ordered its workers to place pro-Prop 22 stickers in customers' shopping bags, and DoorDash forced delivery drivers to use bags saying "Yes on 22".
Title litigation
The ballot title, written by Attorney General Xavier Becerra, is "Exempts App-Based Transportation and Delivery Companies from Providing Employee Benefits to Certain Drivers. Initiative Statute". The Yes on Prop 22 campaign challenged this description as non-neutral in court, but their arguments were rejected by a Sacramento Superior Court judge.
Opposition
The No on Prop 22 campaign was funded by the California Labor Federation, with support from UC Berkeley Labor Center. The campaign received around $19 million in support, mostly from labor groups. Driver groups Rideshare Drivers United, Gig Workers Rising, We Drive Progress, and Mobile Workers United, spoke out against Prop 22. Editorial boards from the New York Times and Los Angeles Times also called on voters to reject Prop 22.
The proposition would add protections specific to app-based workers, different from other independent contractors, but these protections would only apply during the time the worker is "engaged" in fulfilling a specific request and not while the worker is logged in to the app and available to fulfill a request.
### Answer: The main parties to support Prop 22 included Lyft, Uber, Doordash, Instacart, and Postmates. The main parties to oppose Prop 22 included California Labor Federation, Rideshare Drivers United, Gig Workers Rising, We Drive Progress, and Mobile Workers United.</s> |
Provide a brief summary of how the ISO 27001 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). | The ISO 27001 standard works by requiring management of the information security management system to examine security risks, implement a comprehensive suite of security controls to manage the identified risks, and operate ongoing processes to measure control effectiveness and risk levels. | summarization | ### Instruction: Provide a brief summary of how the ISO 27001 standard works
### Context: 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).
### Answer: The ISO 27001 standard works by requiring management of the information security management system to examine security risks, implement a comprehensive suite of security controls to manage the identified risks, and operate ongoing processes to measure control effectiveness and risk levels.</s> |
Summarize Roosevelt's accomplishments described in this paragraph. | Beginning in 1925, Roosevelt spent most of his time in the Southern United States, at first on his houseboat, the Larooco. Intrigued by the potential benefits of hydrotherapy, he established a rehabilitation center at Warm Springs, Georgia, in 1926. To create the rehabilitation center, he assembled a staff of physical therapists and used most of his inheritance to purchase the Merriweather Inn. In 1938, he founded the National Foundation for Infantile Paralysis, leading to the development of polio vaccines. | Roosevelt established a rehabilitation center in Georgia and founded the National Foundation for Infantile Paralysis. The latter accomplishment led to the development of polio vaccines. | summarization | ### Instruction: Summarize Roosevelt's accomplishments described in this paragraph.
### Context: Beginning in 1925, Roosevelt spent most of his time in the Southern United States, at first on his houseboat, the Larooco. Intrigued by the potential benefits of hydrotherapy, he established a rehabilitation center at Warm Springs, Georgia, in 1926. To create the rehabilitation center, he assembled a staff of physical therapists and used most of his inheritance to purchase the Merriweather Inn. In 1938, he founded the National Foundation for Infantile Paralysis, leading to the development of polio vaccines.
### Answer: Roosevelt established a rehabilitation center in Georgia and founded the National Foundation for Infantile Paralysis. The latter accomplishment led to the development of polio vaccines.</s> |
What is the length of a championship rowing race? | Rowing, sometimes called crew in the United States, is the sport of racing boats using oars. It differs from paddling sports in that rowing oars are attached to the boat using oarlocks, while paddles are not connected to the boat. Rowing is divided into two disciplines: sculling and sweep rowing. In sculling, each rower holds two oars—one in each hand, while in sweep rowing each rower holds one oar with both hands. There are several boat classes in which athletes may compete, ranging from single sculls, occupied by one person, to shells with eight rowers and a coxswain, called eights. There are a wide variety of course types and formats of racing, but most elite and championship level racing is conducted on calm water courses 2 kilometres (1.2 mi) long with several lanes marked using buoys. | Championship rowing races are conducted over 2 kilometers (1.2 miles) with dedicated lanes delineated by bouys. | summarization | ### Instruction: What is the length of a championship rowing race?
### Context: Rowing, sometimes called crew in the United States, is the sport of racing boats using oars. It differs from paddling sports in that rowing oars are attached to the boat using oarlocks, while paddles are not connected to the boat. Rowing is divided into two disciplines: sculling and sweep rowing. In sculling, each rower holds two oars—one in each hand, while in sweep rowing each rower holds one oar with both hands. There are several boat classes in which athletes may compete, ranging from single sculls, occupied by one person, to shells with eight rowers and a coxswain, called eights. There are a wide variety of course types and formats of racing, but most elite and championship level racing is conducted on calm water courses 2 kilometres (1.2 mi) long with several lanes marked using buoys.
### Answer: Championship rowing races are conducted over 2 kilometers (1.2 miles) with dedicated lanes delineated by bouys.</s> |
Is the Guinness Book of World Records legitimate? | Guinness World Records, known from its inception in 1955 until 1999 as The Guinness Book of Records and in previous United States editions as The Guinness Book of World Records, is a reference book published annually, listing world records both of human achievements and the extremes of the natural world. The brainchild of Sir Hugh Beaver, the book was co-founded by twin brothers Norris and Ross McWhirter in Fleet Street, London, in August 1955. | The Guinness Book of World Records is a real organization that was started in 1955. The organization certifies world records by sending an official certifier to witness and record world records. Recently, the organization has come under fire for its practices of receiving money from dictatorships in exchange for certifying "seemingly random" world records, such as "The Largest Gathering of Jump Ropers Wearing Green" or "The Longest Pizza Baked in Under 10 Hours". | summarization | ### Instruction: Is the Guinness Book of World Records legitimate?
### Context: Guinness World Records, known from its inception in 1955 until 1999 as The Guinness Book of Records and in previous United States editions as The Guinness Book of World Records, is a reference book published annually, listing world records both of human achievements and the extremes of the natural world. The brainchild of Sir Hugh Beaver, the book was co-founded by twin brothers Norris and Ross McWhirter in Fleet Street, London, in August 1955.
### Answer: The Guinness Book of World Records is a real organization that was started in 1955. The organization certifies world records by sending an official certifier to witness and record world records. Recently, the organization has come under fire for its practices of receiving money from dictatorships in exchange for certifying "seemingly random" world records, such as "The Largest Gathering of Jump Ropers Wearing Green" or "The Longest Pizza Baked in Under 10 Hours".</s> |
What were the primary motivations for the Dual Alliance? | The Dual Alliance (German: Zweibund, Hungarian: Kettős Szövetség) was a defensive alliance between Germany and Austria-Hungary, which was created by treaty on October 7, 1879, as part of Germany's Otto von Bismarck's system of alliances to prevent or limit war. The two powers promised each other support in case of attack by Russia. Also, each state promised benevolent neutrality to the other if one of them was attacked by another European power (generally taken to be France, even more so after the Franco-Russian Alliance of 1894). Bismarck saw the alliance as a way to prevent the isolation of the German Empire, which had just been founded a few years before, and to preserve peace, as Russia would not wage war against both empires.
Formation
When Austria-Hungary and Germany formed an alliance in 1879, it was one of the more surprising alliances of its time. Though both shared the German language and a similar culture, Austria-Hungary and Germany were often driven apart, most notably during the recent Austro-Prussian War. Additionally, the Habsburg rulers believed that the promotion of nationalism, which was favoured by Germany, would destroy their multinational empire. However, their common distrust of Russia brought both empires together for a common cause. | The primary motivations for the alliance between Germany and Austria-Hungary were peacemaking and protection. The alliance ensured that both Germany and Austria-Hungary would be safe from attack by Russia. The alliance also promoted peace between the two countries and other European powers. | summarization | ### Instruction: What were the primary motivations for the Dual Alliance?
### Context: The Dual Alliance (German: Zweibund, Hungarian: Kettős Szövetség) was a defensive alliance between Germany and Austria-Hungary, which was created by treaty on October 7, 1879, as part of Germany's Otto von Bismarck's system of alliances to prevent or limit war. The two powers promised each other support in case of attack by Russia. Also, each state promised benevolent neutrality to the other if one of them was attacked by another European power (generally taken to be France, even more so after the Franco-Russian Alliance of 1894). Bismarck saw the alliance as a way to prevent the isolation of the German Empire, which had just been founded a few years before, and to preserve peace, as Russia would not wage war against both empires.
Formation
When Austria-Hungary and Germany formed an alliance in 1879, it was one of the more surprising alliances of its time. Though both shared the German language and a similar culture, Austria-Hungary and Germany were often driven apart, most notably during the recent Austro-Prussian War. Additionally, the Habsburg rulers believed that the promotion of nationalism, which was favoured by Germany, would destroy their multinational empire. However, their common distrust of Russia brought both empires together for a common cause.
### Answer: The primary motivations for the alliance between Germany and Austria-Hungary were peacemaking and protection. The alliance ensured that both Germany and Austria-Hungary would be safe from attack by Russia. The alliance also promoted peace between the two countries and other European powers.</s> |
Give a summary of Manhattan Project | The Manhattan Project was a research and development undertaking during World War II that produced the first nuclear weapons. It was led by the United States with the support of the United Kingdom and Canada. From 1942 to 1946, the project was under the direction of Major General Leslie Groves of the U.S. Army Corps of Engineers. Nuclear physicist Robert Oppenheimer was the director of the Los Alamos Laboratory that designed the actual bombs. The Army component of the project was designated the Manhattan District as its first headquarters were in Manhattan; the placename gradually superseded the official codename, Development of Substitute Materials, for the entire project. Along the way, the project absorbed its earlier British counterpart, Tube Alloys. The Manhattan Project began modestly in 1939, but grew to employ nearly 130,000 people at its peak and cost nearly US$2 billion (equivalent to about $24 billion in 2021). Over 90 percent of the cost was for building factories and to produce fissile material, with less than 10 percent for development and production of the weapons. Research and production took place at more than thirty sites across the United States, the United Kingdom, and Canada.
The project led to the development of two types of atomic bombs, both developed concurrently, during the war: a relatively simple gun-type fission weapon and a more complex implosion-type nuclear weapon. The Thin Man gun-type design proved impractical to use with plutonium, so a simpler gun-type design called Little Boy was developed that used uranium-235, an isotope that makes up only 0.7 percent of natural uranium. Because it is chemically identical to the most common isotope, uranium-238, and has almost the same mass, separating the two proved difficult. Three methods were employed for uranium enrichment: electromagnetic, gaseous and thermal. Most of this work was carried out at the Clinton Engineer Works at Oak Ridge, Tennessee.
In parallel with the work on uranium was an effort to produce plutonium, which researchers at the University of California, Berkeley, discovered in 1940. After the feasibility of the world's first artificial nuclear reactor, the Chicago Pile-1, was demonstrated in 1942 at the Metallurgical Laboratory in the University of Chicago, the project designed the X-10 Graphite Reactor at Oak Ridge and the production reactors at the Hanford Site in Washington state, in which uranium was irradiated and transmuted into plutonium. The plutonium was then chemically separated from the uranium, using the bismuth phosphate process. The Fat Man plutonium implosion-type weapon was developed in a concerted design and development effort by the Los Alamos Laboratory.
The project was also charged with gathering intelligence on the German nuclear weapon project. Through Operation Alsos, Manhattan Project personnel served in Europe, sometimes behind enemy lines, where they gathered nuclear materials and documents, and rounded up German scientists. Despite the Manhattan Project's tight security, Soviet atomic spies successfully penetrated the program.
The first nuclear device ever detonated was an implosion-type bomb during the Trinity test, conducted at New Mexico's Alamogordo Bombing and Gunnery Range on 16 July 1945. Little Boy and Fat Man bombs were used a month later in the atomic bombings of Hiroshima and Nagasaki, respectively, with Manhattan Project personnel serving as bomb assembly technicians and weaponeers on the attack aircraft. In the immediate postwar years, the Manhattan Project conducted weapons testing at Bikini Atoll as part of Operation Crossroads, developed new weapons, promoted the development of the network of national laboratories, supported medical research into radiology and laid the foundations for the nuclear navy. It maintained control over American atomic weapons research and production until the formation of the United States Atomic Energy Commission in January 1947. | The Manhattan Project was the program based in the United States which tried to make the first nuclear weapons. The project cost $2 billion, and created many secret cities and bomb-making factories, such as a laboratory in Los Alamos, New Mexico, a nuclear reactor in Hanford, Washington, and a uranium processing plant in Oak Ridge, Tennessee. The top scientist on the project was Robert Oppenheimer, a famous physicist. The Manhattan Project had to find solutions to two difficulties. The first difficulty is how to make the special isotopes of uranium (uranium-235) or plutonium. This process is called separation and is very slow. The United States built very big buildings with three different kinds of machine for separation. They made enough fissionable special isotopes for a few nuclear weapons. The second difficulty was how to make a bomb that will produce a big nuclear explosion every time. A weapon with a bad design can make a much smaller nuclear explosion. This is called a "fizzle". In July 1945, the Manhattan Project solved the two difficulties and made the first nuclear explosion. This test of a nuclear weapon was called "Trinity" and was a success. Manhattan Project created two nuclear bombs which were used against Japan in 1945. | summarization | ### Instruction: Give a summary of Manhattan Project
### Context: The Manhattan Project was a research and development undertaking during World War II that produced the first nuclear weapons. It was led by the United States with the support of the United Kingdom and Canada. From 1942 to 1946, the project was under the direction of Major General Leslie Groves of the U.S. Army Corps of Engineers. Nuclear physicist Robert Oppenheimer was the director of the Los Alamos Laboratory that designed the actual bombs. The Army component of the project was designated the Manhattan District as its first headquarters were in Manhattan; the placename gradually superseded the official codename, Development of Substitute Materials, for the entire project. Along the way, the project absorbed its earlier British counterpart, Tube Alloys. The Manhattan Project began modestly in 1939, but grew to employ nearly 130,000 people at its peak and cost nearly US$2 billion (equivalent to about $24 billion in 2021). Over 90 percent of the cost was for building factories and to produce fissile material, with less than 10 percent for development and production of the weapons. Research and production took place at more than thirty sites across the United States, the United Kingdom, and Canada.
The project led to the development of two types of atomic bombs, both developed concurrently, during the war: a relatively simple gun-type fission weapon and a more complex implosion-type nuclear weapon. The Thin Man gun-type design proved impractical to use with plutonium, so a simpler gun-type design called Little Boy was developed that used uranium-235, an isotope that makes up only 0.7 percent of natural uranium. Because it is chemically identical to the most common isotope, uranium-238, and has almost the same mass, separating the two proved difficult. Three methods were employed for uranium enrichment: electromagnetic, gaseous and thermal. Most of this work was carried out at the Clinton Engineer Works at Oak Ridge, Tennessee.
In parallel with the work on uranium was an effort to produce plutonium, which researchers at the University of California, Berkeley, discovered in 1940. After the feasibility of the world's first artificial nuclear reactor, the Chicago Pile-1, was demonstrated in 1942 at the Metallurgical Laboratory in the University of Chicago, the project designed the X-10 Graphite Reactor at Oak Ridge and the production reactors at the Hanford Site in Washington state, in which uranium was irradiated and transmuted into plutonium. The plutonium was then chemically separated from the uranium, using the bismuth phosphate process. The Fat Man plutonium implosion-type weapon was developed in a concerted design and development effort by the Los Alamos Laboratory.
The project was also charged with gathering intelligence on the German nuclear weapon project. Through Operation Alsos, Manhattan Project personnel served in Europe, sometimes behind enemy lines, where they gathered nuclear materials and documents, and rounded up German scientists. Despite the Manhattan Project's tight security, Soviet atomic spies successfully penetrated the program.
The first nuclear device ever detonated was an implosion-type bomb during the Trinity test, conducted at New Mexico's Alamogordo Bombing and Gunnery Range on 16 July 1945. Little Boy and Fat Man bombs were used a month later in the atomic bombings of Hiroshima and Nagasaki, respectively, with Manhattan Project personnel serving as bomb assembly technicians and weaponeers on the attack aircraft. In the immediate postwar years, the Manhattan Project conducted weapons testing at Bikini Atoll as part of Operation Crossroads, developed new weapons, promoted the development of the network of national laboratories, supported medical research into radiology and laid the foundations for the nuclear navy. It maintained control over American atomic weapons research and production until the formation of the United States Atomic Energy Commission in January 1947.
### Answer: The Manhattan Project was the program based in the United States which tried to make the first nuclear weapons. The project cost $2 billion, and created many secret cities and bomb-making factories, such as a laboratory in Los Alamos, New Mexico, a nuclear reactor in Hanford, Washington, and a uranium processing plant in Oak Ridge, Tennessee. The top scientist on the project was Robert Oppenheimer, a famous physicist. The Manhattan Project had to find solutions to two difficulties. The first difficulty is how to make the special isotopes of uranium (uranium-235) or plutonium. This process is called separation and is very slow. The United States built very big buildings with three different kinds of machine for separation. They made enough fissionable special isotopes for a few nuclear weapons. The second difficulty was how to make a bomb that will produce a big nuclear explosion every time. A weapon with a bad design can make a much smaller nuclear explosion. This is called a "fizzle". In July 1945, the Manhattan Project solved the two difficulties and made the first nuclear explosion. This test of a nuclear weapon was called "Trinity" and was a success. Manhattan Project created two nuclear bombs which were used against Japan in 1945.</s> |
Where is the Rudka County | Rudka [ˈrutka] is a village in the administrative district of Gmina Trzcianka, within Czarnków-Trzcianka County, Greater Poland Voivodeship, in west-central Poland. It lies approximately 8 kilometres (5 mi) south of Trzcianka, 13 km (8 mi) north-west of Czarnków, and 72 km (45 mi) north-west of the regional capital Poznań. | Rudka is a village in the administrative district of Gmina Trzcianka, within Czarnków-Trzcianka County, Greater Poland Voivodeship, in west-central Poland. It lies approximately 8 kilometres (5 mi) south of Trzcianka, 13 km (8 mi) north-west of Czarnków, and 72 km (45 mi) north-west of the regional capital Poznań. | summarization | ### Instruction: Where is the Rudka County
### Context: Rudka [ˈrutka] is a village in the administrative district of Gmina Trzcianka, within Czarnków-Trzcianka County, Greater Poland Voivodeship, in west-central Poland. It lies approximately 8 kilometres (5 mi) south of Trzcianka, 13 km (8 mi) north-west of Czarnków, and 72 km (45 mi) north-west of the regional capital Poznań.
### Answer: Rudka is a village in the administrative district of Gmina Trzcianka, within Czarnków-Trzcianka County, Greater Poland Voivodeship, in west-central Poland. It lies approximately 8 kilometres (5 mi) south of Trzcianka, 13 km (8 mi) north-west of Czarnków, and 72 km (45 mi) north-west of the regional capital Poznań.</s> |
What is the definition of a moon landing | A Moon landing is the arrival of a spacecraft on the surface of the Moon. This includes both crewed and robotic missions. The first human-made object to touch the Moon was the Soviet Union's Luna 2, on 13 September 1959. | A Moon landing is the arrival of a spacecraft on the surface of the Moon. This includes both crewed and robotic missions. The first human-made object to touch the Moon was the Soviet Union's Luna 2, on 13 September 1959.
The United States' Apollo 11 was the first crewed mission to land on the Moon, on 20 July 1969. There were six crewed U.S. landings between 1969 and 1972, and numerous uncrewed landings, with no soft landings happening between 22 August 1976 and 14 December 2013.
The United States is the only country to have successfully conducted crewed missions to the Moon, with the last departing the lunar surface in December 1972. All soft landings took place on the near side of the Moon until 3 January 2019, when the Chinese Chang'e 4 spacecraft made the first landing on the far side of the Moon. | summarization | ### Instruction: What is the definition of a moon landing
### Context: A Moon landing is the arrival of a spacecraft on the surface of the Moon. This includes both crewed and robotic missions. The first human-made object to touch the Moon was the Soviet Union's Luna 2, on 13 September 1959.
### Answer: A Moon landing is the arrival of a spacecraft on the surface of the Moon. This includes both crewed and robotic missions. The first human-made object to touch the Moon was the Soviet Union's Luna 2, on 13 September 1959.
The United States' Apollo 11 was the first crewed mission to land on the Moon, on 20 July 1969. There were six crewed U.S. landings between 1969 and 1972, and numerous uncrewed landings, with no soft landings happening between 22 August 1976 and 14 December 2013.
The United States is the only country to have successfully conducted crewed missions to the Moon, with the last departing the lunar surface in December 1972. All soft landings took place on the near side of the Moon until 3 January 2019, when the Chinese Chang'e 4 spacecraft made the first landing on the far side of the Moon.</s> |
Please list down some key points regarding governance system of Portland from the given text | The government of Portland, Oregon is based on a city commission government system. Elected officials include the mayor, commissioners, and a city auditor. The mayor and commissioners (members of City Council) are responsible for legislative policy and oversee the various bureaus that oversee the day-to-day operation of the city. Portland began using a commission form of government in 1913 following a public vote on May 3 of that year. Each elected official serves a four-year term, without term limits. Each city council member is elected at-large. In 2022, Portland residents approved a ballot measure to replace the commission form of government with a 12-member council elected in four districts using single transferable vote, with a professional city manager appointed by a directly-elected mayor, with the first elections to be held in 2024. | 1. Portland, Oregon's governance is built on a city commission system.
2. Elected representatives include a city auditor, commissioners, and the mayor.
3. The mayor and commissioners, who make up the City Council, are in charge of setting legislative policy and managing the different bureaus in charge of running the city on a daily basis.
4. After a popular vote on May 3 of that year, Portland adopted a commission system of governance.
5. There are no term limitations on the terms of each elected official's four-year terms.
6. All members of the municipal council are chosen at-large.
7. Portland voters approved a ballot measure in 2022 to replace the commission form of government with a 12-member council elected in four districts using a single transferable vote, with a professional city manager appointed by a directly-elected mayor. The first elections under the new system would take place in 2024. | summarization | ### Instruction: Please list down some key points regarding governance system of Portland from the given text
### Context: The government of Portland, Oregon is based on a city commission government system. Elected officials include the mayor, commissioners, and a city auditor. The mayor and commissioners (members of City Council) are responsible for legislative policy and oversee the various bureaus that oversee the day-to-day operation of the city. Portland began using a commission form of government in 1913 following a public vote on May 3 of that year. Each elected official serves a four-year term, without term limits. Each city council member is elected at-large. In 2022, Portland residents approved a ballot measure to replace the commission form of government with a 12-member council elected in four districts using single transferable vote, with a professional city manager appointed by a directly-elected mayor, with the first elections to be held in 2024.
### Answer: 1. Portland, Oregon's governance is built on a city commission system.
2. Elected representatives include a city auditor, commissioners, and the mayor.
3. The mayor and commissioners, who make up the City Council, are in charge of setting legislative policy and managing the different bureaus in charge of running the city on a daily basis.
4. After a popular vote on May 3 of that year, Portland adopted a commission system of governance.
5. There are no term limitations on the terms of each elected official's four-year terms.
6. All members of the municipal council are chosen at-large.
7. Portland voters approved a ballot measure in 2022 to replace the commission form of government with a 12-member council elected in four districts using a single transferable vote, with a professional city manager appointed by a directly-elected mayor. The first elections under the new system would take place in 2024.</s> |
Was Valery Ivanov a spy | Valery Nikolayevich Ivanov (Russian: Валерий Николаевич Иванов) (born 1948) was a Soviet diplomat.
As First Secretary of the Soviet Embassy to Australia, he was expelled on 22 April 1983 under suspicion of being a spy after allegedly trying to recruit Australian Labor Party member David Combe, see Combe-Ivanov affair. | Valery Nikolayevich Ivanov was born in 1948 and was a Soviet diplomat.
As First Secretary of the Soviet Embassy to Australia, he was expelled on 22 April 1983 under suspicion of being a spy after allegedly trying to recruit Australian Labor Party member David Combe. | summarization | ### Instruction: Was Valery Ivanov a spy
### Context: Valery Nikolayevich Ivanov (Russian: Валерий Николаевич Иванов) (born 1948) was a Soviet diplomat.
As First Secretary of the Soviet Embassy to Australia, he was expelled on 22 April 1983 under suspicion of being a spy after allegedly trying to recruit Australian Labor Party member David Combe, see Combe-Ivanov affair.
### Answer: Valery Nikolayevich Ivanov was born in 1948 and was a Soviet diplomat.
As First Secretary of the Soviet Embassy to Australia, he was expelled on 22 April 1983 under suspicion of being a spy after allegedly trying to recruit Australian Labor Party member David Combe.</s> |
What are the 9 locations of Dick's Drive In restaurants? | Founders Dick Spady, H. Warren Ghormley, and Dr. B. O. A. Thomas opened the first Dick's on January 28, 1954, in Seattle's Wallingford neighborhood, on N.E. 45th Street. A grand opening was held on February 20, 1954. In 1955, a second Dick's was opened in Seattle's Capitol Hill district. This was followed by a third in 1960 in the Crown Hill neighborhood, a 4th in 1963 in Lake City, a fifth in Queen Anne in 1974. All but the Queen Anne location are without customer seating. The Queen Anne location has indoor tables and no drive-in.
The simple menu has changed little over time. It features fast-food staples such as hamburgers, hand-cut french fries, and individually made milkshakes. Dick's is particularly well known for the "Dick's Deluxe," which includes lettuce, mayonnaise, and chopped pickles. No substitutions are allowed and all burgers are cooked to well done. For most of Dick's history, the only available omissions were the Deluxe without cheese or fries without salt. More recent menu changes, however, allow ordering plain versions of the hamburger and cheeseburger.
A black-and-white photograph of the Capitol Hill location of Dick's Drive-In, circa 1955.
The Capitol Hill location in 1955
For several years Dick's has offered employee benefits such as a 50% matched 401(k), 100% employer-paid medical insurance, and a college tuition scholarship (currently at $28,000) accessible after six months of employment. In 2013, Dick's Drive-In was voted "the most life-changing burger joint in America" in an Esquire.com poll.
In September 2010, it was announced that Dick's was planning on opening a new sixth location in the Seattle area and that an online poll on their website would determine the new location. After a few weeks of polling, the area north of Seattle won the right for a new Dick's Drive-In. On October 15, 2010, Dick's officials announced the new location to be in Edmonds on the corner of Hwy 99 and 220th St. On October 20, 2011, the 6th location in Edmonds opened to the public. The opening occurred multiple weeks ahead of schedule.
In 2017, Dick's launched another poll to determine its seventh location, which would be located either on the Eastside or in South King County. Over 177,000 participants cast their votes, with the majority favoring the South region. Locations being considered included Kent, West Seattle, South Seattle, Renton, Burien, SeaTac, Tukwila, Auburn, Normandy Park, Des Moines and Federal Way. After an extensive amount of time, it was announced on September 7, 2017, that the 7th location to the chain would be located in Kent on Highway 99, 5 miles (8 km) south of Sea-Tac Airport. The location opened on December 12, 2018.
In September 2020, Dick's announced that it would launch a food truck to serve five locations in Western Washington that were chosen through a public poll: Bellevue, Bellingham, Everett, Renton, and West Seattle. The restaurant also announced that it would be expanding to the Eastside once a suitable location is found. A collaboration with local chef Edouardo Jordan of Salare and JuneBaby was also announced with a three-day popup event at the Queen Anne location. In December 2021, Dick's opened an Eastside location at the Crossroads Shopping Center in Bellevue. Dick's then announced on April 28, 2022, that it would open a ninth location at The Commons shopping center in Federal Way in 2023. | The nine locations, once the final location is completed in 2023, are as follows: Wallingford, Seattle; Capitol Hill, Seattle; Crown Hill, Seattle; Queen Anne, Seattle; Edmonds; Kent; Bellevue; and Federal Way. | summarization | ### Instruction: What are the 9 locations of Dick's Drive In restaurants?
### Context: Founders Dick Spady, H. Warren Ghormley, and Dr. B. O. A. Thomas opened the first Dick's on January 28, 1954, in Seattle's Wallingford neighborhood, on N.E. 45th Street. A grand opening was held on February 20, 1954. In 1955, a second Dick's was opened in Seattle's Capitol Hill district. This was followed by a third in 1960 in the Crown Hill neighborhood, a 4th in 1963 in Lake City, a fifth in Queen Anne in 1974. All but the Queen Anne location are without customer seating. The Queen Anne location has indoor tables and no drive-in.
The simple menu has changed little over time. It features fast-food staples such as hamburgers, hand-cut french fries, and individually made milkshakes. Dick's is particularly well known for the "Dick's Deluxe," which includes lettuce, mayonnaise, and chopped pickles. No substitutions are allowed and all burgers are cooked to well done. For most of Dick's history, the only available omissions were the Deluxe without cheese or fries without salt. More recent menu changes, however, allow ordering plain versions of the hamburger and cheeseburger.
A black-and-white photograph of the Capitol Hill location of Dick's Drive-In, circa 1955.
The Capitol Hill location in 1955
For several years Dick's has offered employee benefits such as a 50% matched 401(k), 100% employer-paid medical insurance, and a college tuition scholarship (currently at $28,000) accessible after six months of employment. In 2013, Dick's Drive-In was voted "the most life-changing burger joint in America" in an Esquire.com poll.
In September 2010, it was announced that Dick's was planning on opening a new sixth location in the Seattle area and that an online poll on their website would determine the new location. After a few weeks of polling, the area north of Seattle won the right for a new Dick's Drive-In. On October 15, 2010, Dick's officials announced the new location to be in Edmonds on the corner of Hwy 99 and 220th St. On October 20, 2011, the 6th location in Edmonds opened to the public. The opening occurred multiple weeks ahead of schedule.
In 2017, Dick's launched another poll to determine its seventh location, which would be located either on the Eastside or in South King County. Over 177,000 participants cast their votes, with the majority favoring the South region. Locations being considered included Kent, West Seattle, South Seattle, Renton, Burien, SeaTac, Tukwila, Auburn, Normandy Park, Des Moines and Federal Way. After an extensive amount of time, it was announced on September 7, 2017, that the 7th location to the chain would be located in Kent on Highway 99, 5 miles (8 km) south of Sea-Tac Airport. The location opened on December 12, 2018.
In September 2020, Dick's announced that it would launch a food truck to serve five locations in Western Washington that were chosen through a public poll: Bellevue, Bellingham, Everett, Renton, and West Seattle. The restaurant also announced that it would be expanding to the Eastside once a suitable location is found. A collaboration with local chef Edouardo Jordan of Salare and JuneBaby was also announced with a three-day popup event at the Queen Anne location. In December 2021, Dick's opened an Eastside location at the Crossroads Shopping Center in Bellevue. Dick's then announced on April 28, 2022, that it would open a ninth location at The Commons shopping center in Federal Way in 2023.
### Answer: The nine locations, once the final location is completed in 2023, are as follows: Wallingford, Seattle; Capitol Hill, Seattle; Crown Hill, Seattle; Queen Anne, Seattle; Edmonds; Kent; Bellevue; and Federal Way.</s> |
What is K-Pop? | K-pop, short for Korean popular music, is a form of popular music originating in South Korea as part of South Korean culture. It includes styles and genres from around the world, such as pop, hip hop, R&B, rock, jazz, gospel, reggae, electronic dance, folk, country, disco, and classical on top of its traditional Korean music roots. The term "K-pop" became popular in the 2000s, especially in the international context. The Korean term for domestic pop music is gayo, which is still widely used within South Korea. While "K-pop" can refer to all popular music or pop music from South Korea, it is colloquially often used in a narrower sense for any Korean music and artists associated with the entertainment and idol industry in the country, regardless of the genre. | K-pop is an acronym for Korean pop music. It is a mainstream genre of music that originated in South Korea. K-pop is influenced by a variety of different musical genres such as rock, hip hop, R&B, and electronic music. K-pop groups usually consists of trained members who have designated roles such as the main vocalist, vocalists, dancer, rapper, and visual. K-pop choreographies consist of repetitive synchronized movements which tend to go viral. | summarization | ### Instruction: What is K-Pop?
### Context: K-pop, short for Korean popular music, is a form of popular music originating in South Korea as part of South Korean culture. It includes styles and genres from around the world, such as pop, hip hop, R&B, rock, jazz, gospel, reggae, electronic dance, folk, country, disco, and classical on top of its traditional Korean music roots. The term "K-pop" became popular in the 2000s, especially in the international context. The Korean term for domestic pop music is gayo, which is still widely used within South Korea. While "K-pop" can refer to all popular music or pop music from South Korea, it is colloquially often used in a narrower sense for any Korean music and artists associated with the entertainment and idol industry in the country, regardless of the genre.
### Answer: K-pop is an acronym for Korean pop music. It is a mainstream genre of music that originated in South Korea. K-pop is influenced by a variety of different musical genres such as rock, hip hop, R&B, and electronic music. K-pop groups usually consists of trained members who have designated roles such as the main vocalist, vocalists, dancer, rapper, and visual. K-pop choreographies consist of repetitive synchronized movements which tend to go viral.</s> |
For the Zodiac sign Aries, Share some information from the given text. | Aries (♈︎) (Greek: Κριός, romanized: Kriós, Latin for "ram") is the first astrological sign in the zodiac, spanning the first 30 degrees of celestial longitude (0°≤ λ <30°), and originates from the Aries constellation. Under the tropical zodiac, the Sun transits this sign from approximately March 21 to April 19 each year. This time duration is exactly the first month of the Solar Hijri calendar (Arabic Hamal/Persian Farvardin/Pashto Wray). | 1. Aries is the first astrological sign in the zodiac, spanned in the first 30 degrees of celestial longitude (0°≤ λ <30°).
2. Aries is originated from the Aries constellation.
3. The Sun transits this sign from approximately March 21 to April 19 each year.
4. This time period is exactly the first month of the Solar Hijri calendar (Arabic Hamal/Persian Farvardin/Pashto Wray). | summarization | ### Instruction: For the Zodiac sign Aries, Share some information from the given text.
### Context: Aries (♈︎) (Greek: Κριός, romanized: Kriós, Latin for "ram") is the first astrological sign in the zodiac, spanning the first 30 degrees of celestial longitude (0°≤ λ <30°), and originates from the Aries constellation. Under the tropical zodiac, the Sun transits this sign from approximately March 21 to April 19 each year. This time duration is exactly the first month of the Solar Hijri calendar (Arabic Hamal/Persian Farvardin/Pashto Wray).
### Answer: 1. Aries is the first astrological sign in the zodiac, spanned in the first 30 degrees of celestial longitude (0°≤ λ <30°).
2. Aries is originated from the Aries constellation.
3. The Sun transits this sign from approximately March 21 to April 19 each year.
4. This time period is exactly the first month of the Solar Hijri calendar (Arabic Hamal/Persian Farvardin/Pashto Wray).</s> |
Describe the video game crash of 1983 in 2 sentences. | The video game crash of 1983 (known as the Atari shock in Japan) was a large-scale recession in the video game industry that occurred from 1983 to 1985, primarily in the United States. The crash was attributed to several factors, including market saturation in the number of video game consoles and available games, many of which were of poor quality, as well as waning interest in console games in favor of personal computers. Home video game revenues peaked at around $3.2 billion in 1983, then fell to around $100 million by 1985 (a drop of almost 97 percent). The crash abruptly ended what is retrospectively considered the second generation of console video gaming in North America. To a lesser extent, the arcade video game market also weakened as the golden age of arcade video games came to an end.
Lasting about two years, the crash shook a then-booming video game industry and led to the bankruptcy of several companies producing home computers and video game consoles. Analysts of the time expressed doubts about the long-term viability of video game consoles and software.
The North American video game console industry recovered a few years later, mostly due to the widespread success of Nintendo's Western branding for its Famicom console, the Nintendo Entertainment System (NES), released in 1985. The NES was designed to avoid the missteps that caused the 1983 crash and the stigma associated with video games at that time. | Home video game revenues in North America declined from $3.2 billion in 1983 to around $100 million in 1985. This decline – which preceded the success of the Nintendo Entertainment System – is referred to as the video game crash of 1983. | summarization | ### Instruction: Describe the video game crash of 1983 in 2 sentences.
### Context: The video game crash of 1983 (known as the Atari shock in Japan) was a large-scale recession in the video game industry that occurred from 1983 to 1985, primarily in the United States. The crash was attributed to several factors, including market saturation in the number of video game consoles and available games, many of which were of poor quality, as well as waning interest in console games in favor of personal computers. Home video game revenues peaked at around $3.2 billion in 1983, then fell to around $100 million by 1985 (a drop of almost 97 percent). The crash abruptly ended what is retrospectively considered the second generation of console video gaming in North America. To a lesser extent, the arcade video game market also weakened as the golden age of arcade video games came to an end.
Lasting about two years, the crash shook a then-booming video game industry and led to the bankruptcy of several companies producing home computers and video game consoles. Analysts of the time expressed doubts about the long-term viability of video game consoles and software.
The North American video game console industry recovered a few years later, mostly due to the widespread success of Nintendo's Western branding for its Famicom console, the Nintendo Entertainment System (NES), released in 1985. The NES was designed to avoid the missteps that caused the 1983 crash and the stigma associated with video games at that time.
### Answer: Home video game revenues in North America declined from $3.2 billion in 1983 to around $100 million in 1985. This decline – which preceded the success of the Nintendo Entertainment System – is referred to as the video game crash of 1983.</s> |
What is the etymology of the word cookie? | The word cookie dates from at least 1701 in Scottish usage where the word meant "plain bun", rather than thin baked good, and so it is not certain whether it is the same word. From 1808, the word "cookie" is attested "...in the sense of "small, flat, sweet cake" in American English. The American use is derived from Dutch koekje "little cake," which is a diminutive of "koek" ("cake"), which came from the Middle Dutch word "koke". Another claim is that the American name derives from the Dutch word koekje or more precisely its informal, dialect variant koekie which means little cake, and arrived in American English with the Dutch settlement of New Netherland, in the early 1600s. | The earliest known usage of the work cookie comes from 1701 in Scotland, where it meant "plain bun". Starting in 1808 the term was associated with small, flat, sweet cakes as part of American English, which is believed to be derived from the Dutch word keokie. | summarization | ### Instruction: What is the etymology of the word cookie?
### Context: The word cookie dates from at least 1701 in Scottish usage where the word meant "plain bun", rather than thin baked good, and so it is not certain whether it is the same word. From 1808, the word "cookie" is attested "...in the sense of "small, flat, sweet cake" in American English. The American use is derived from Dutch koekje "little cake," which is a diminutive of "koek" ("cake"), which came from the Middle Dutch word "koke". Another claim is that the American name derives from the Dutch word koekje or more precisely its informal, dialect variant koekie which means little cake, and arrived in American English with the Dutch settlement of New Netherland, in the early 1600s.
### Answer: The earliest known usage of the work cookie comes from 1701 in Scotland, where it meant "plain bun". Starting in 1808 the term was associated with small, flat, sweet cakes as part of American English, which is believed to be derived from the Dutch word keokie.</s> |
Summarize Jacque Fresco's early life based on this passage. | Jacque Fresco was born on March 13, 1916, and grew up in a Sephardi Jewish household, at the family's home in Bensonhurst, in the Brooklyn borough of New York City. Fresco's father was an agriculturist born in Constantinople (now Istanbul, Turkey), while his mother Lena was an emigrant from Jerusalem. He later turned his attention to technocracy. A teenager during the Great Depression, he spent time with friends discussing Charles Darwin, Albert Einstein, science, and the future. Fresco attended the Young Communist League before being "physically ejected" for loudly stating that "Karl Marx was wrong!" after a discussion with the league president during a meeting. He left home at the age of 14, hitchhiking and "jumping" trains as one of the so-called "Wild Boys of the Road". | Jacque Fresco was born into a Jewish home in Brooklyn in 1916. His teenage years coincided with the Great Depression where he spent his time discussing historically notable thinkers with his friends, such as Albert Einstein and Charles Darwin. He was involved in youth communist groups but eventually left over ideological disputes. He eventually became one of the "Wild Boys of the Road" when 14 and left behind his home. | summarization | ### Instruction: Summarize Jacque Fresco's early life based on this passage.
### Context: Jacque Fresco was born on March 13, 1916, and grew up in a Sephardi Jewish household, at the family's home in Bensonhurst, in the Brooklyn borough of New York City. Fresco's father was an agriculturist born in Constantinople (now Istanbul, Turkey), while his mother Lena was an emigrant from Jerusalem. He later turned his attention to technocracy. A teenager during the Great Depression, he spent time with friends discussing Charles Darwin, Albert Einstein, science, and the future. Fresco attended the Young Communist League before being "physically ejected" for loudly stating that "Karl Marx was wrong!" after a discussion with the league president during a meeting. He left home at the age of 14, hitchhiking and "jumping" trains as one of the so-called "Wild Boys of the Road".
### Answer: Jacque Fresco was born into a Jewish home in Brooklyn in 1916. His teenage years coincided with the Great Depression where he spent his time discussing historically notable thinkers with his friends, such as Albert Einstein and Charles Darwin. He was involved in youth communist groups but eventually left over ideological disputes. He eventually became one of the "Wild Boys of the Road" when 14 and left behind his home.</s> |
What was the united Arab republic? | In 1958, Egypt and Syria formed a sovereign union known as the United Arab Republic. The union was short-lived, ending in 1961 when Syria seceded, thus ending the union. During most of its existence, the United Arab Republic was also in a loose confederation with North Yemen (or the Mutawakkilite Kingdom of Yemen), known as the United Arab States. In 1959, the All-Palestine Government of the Gaza Strip, an Egyptian client state, was absorbed into the United Arab Republic under the pretext of Arab union, and was never restored. The Arab Socialist Union, a new nasserist state-party was founded in 1962. | The United Arab Republic was formed in 1958 as a sovereign union by Egypt and Syria. Later in 1959 Gaza was part of the republic but it only lasted till 1961 when Syria seceded. | summarization | ### Instruction: What was the united Arab republic?
### Context: In 1958, Egypt and Syria formed a sovereign union known as the United Arab Republic. The union was short-lived, ending in 1961 when Syria seceded, thus ending the union. During most of its existence, the United Arab Republic was also in a loose confederation with North Yemen (or the Mutawakkilite Kingdom of Yemen), known as the United Arab States. In 1959, the All-Palestine Government of the Gaza Strip, an Egyptian client state, was absorbed into the United Arab Republic under the pretext of Arab union, and was never restored. The Arab Socialist Union, a new nasserist state-party was founded in 1962.
### Answer: The United Arab Republic was formed in 1958 as a sovereign union by Egypt and Syria. Later in 1959 Gaza was part of the republic but it only lasted till 1961 when Syria seceded.</s> |
what is north america | North America is a continent in the Northern Hemisphere and almost entirely within the Western Hemisphere. | North America is a continent in the Northern Hemisphere and almost entirely within the Western Hemisphere. It is bordered to the north by the Arctic Ocean, to the east by the Atlantic Ocean, to the southeast by South America and the Caribbean Sea, and to the west and south by the Pacific Ocean. Because it is on the North American Tectonic Plate, Greenland is included as a part of North America geographically. | summarization | ### Instruction: what is north america
### Context: North America is a continent in the Northern Hemisphere and almost entirely within the Western Hemisphere.
### Answer: North America is a continent in the Northern Hemisphere and almost entirely within the Western Hemisphere. It is bordered to the north by the Arctic Ocean, to the east by the Atlantic Ocean, to the southeast by South America and the Caribbean Sea, and to the west and south by the Pacific Ocean. Because it is on the North American Tectonic Plate, Greenland is included as a part of North America geographically.</s> |
Please list a few of the professional organizations that Judith Stern participated in during her career. | In 1974, Judith Stern joined the faculty of the University of California, Davis as an assistant professor in the Department of Nutrition. There her early research centered on differences in the adipose tissue of obese individuals – using Zucker rats as a research model. Eventually her research program grew to include human studies, focused on various obesity treatment regimens.
In 1995, Stern was elected to the National Academy of Medicine. At various points she was elected president of the NAASO (1992–1993, now The Obesity Society) and the American Society for Clinical Nutrition. Stern co-founded the American Obesity Association, an advocacy group that lobbied in favor of obesity research and treatment. | Some of the professional organizations that Judith Stern created or participated in are the National Academy of Medicine, the Obesity Society, and the American Society for Clinical Nutrition. | summarization | ### Instruction: Please list a few of the professional organizations that Judith Stern participated in during her career.
### Context: In 1974, Judith Stern joined the faculty of the University of California, Davis as an assistant professor in the Department of Nutrition. There her early research centered on differences in the adipose tissue of obese individuals – using Zucker rats as a research model. Eventually her research program grew to include human studies, focused on various obesity treatment regimens.
In 1995, Stern was elected to the National Academy of Medicine. At various points she was elected president of the NAASO (1992–1993, now The Obesity Society) and the American Society for Clinical Nutrition. Stern co-founded the American Obesity Association, an advocacy group that lobbied in favor of obesity research and treatment.
### Answer: Some of the professional organizations that Judith Stern created or participated in are the National Academy of Medicine, the Obesity Society, and the American Society for Clinical Nutrition.</s> |
How many bowl games have the University of Georgia football team won? | The Georgia Bulldogs football program represents the University of Georgia in the sport of American football. The Bulldogs compete in the Football Bowl Subdivision (FBS) of the National Collegiate Athletic Association (NCAA) and the Eastern Division of the Southeastern Conference (SEC). They play their home games at historic Sanford Stadium on the university's Athens, Georgia, campus. Georgia claims four consensus national championships (1942, 1980, 2021, and 2022); while the AP and Coaches Polls have each voted the Bulldogs the national champion three times (1980, 2021, and 2022). Georgia has also been named the National Champion by at least one polling authority in four other seasons (1920, 1927, 1946 and 1968).
The Bulldogs' other accomplishments include 16 conference championships, of which 14 are SEC championships, second-most in conference history, and appearances in 61 bowl games, second-most all-time. | The University of Georgia football team is defined by greatness. Known as the Georgia Bulldogs (Dawgs) and compete in the Division 1 Southeastern Conference (SEC). They play in the historic Sanford Stadium in Athens, Georgia and have appeared in 61 bowl games, second-most all time. In 2022 and 2023 the Georgia Bulldogs won 2 consecutive National Championships. | summarization | ### Instruction: How many bowl games have the University of Georgia football team won?
### Context: The Georgia Bulldogs football program represents the University of Georgia in the sport of American football. The Bulldogs compete in the Football Bowl Subdivision (FBS) of the National Collegiate Athletic Association (NCAA) and the Eastern Division of the Southeastern Conference (SEC). They play their home games at historic Sanford Stadium on the university's Athens, Georgia, campus. Georgia claims four consensus national championships (1942, 1980, 2021, and 2022); while the AP and Coaches Polls have each voted the Bulldogs the national champion three times (1980, 2021, and 2022). Georgia has also been named the National Champion by at least one polling authority in four other seasons (1920, 1927, 1946 and 1968).
The Bulldogs' other accomplishments include 16 conference championships, of which 14 are SEC championships, second-most in conference history, and appearances in 61 bowl games, second-most all-time.
### Answer: The University of Georgia football team is defined by greatness. Known as the Georgia Bulldogs (Dawgs) and compete in the Division 1 Southeastern Conference (SEC). They play in the historic Sanford Stadium in Athens, Georgia and have appeared in 61 bowl games, second-most all time. In 2022 and 2023 the Georgia Bulldogs won 2 consecutive National Championships.</s> |
Share some key points about gem Ruby from the given text | A ruby is a pinkish red to blood-red colored gemstone, a variety of the mineral corundum (aluminium oxide). Ruby is one of the most popular traditional jewelry gems and is very durable. Other varieties of gem-quality corundum are called sapphires. Ruby is one of the traditional cardinal gems, alongside amethyst, sapphire, emerald, and diamond. The word ruby comes from ruber, Latin for red. The color of a ruby is due to the element chromium. | 1. A ruby is a type of the mineral corundum that ranges in colour from pinkish red to blood-red. (aluminium oxide).
2. One of the most well-liked traditional jewellery jewels is ruby, which is also quite strong.
3. Other varieties of gem-quality stones are called as sapphires.
4. Ruby, along with amethyst, sapphire, emerald, and diamond, is one of the classic cardinal stones.
5. Ruby derives from the Latin word ruber, which means red.
6. The element chromium is responsible for a ruby's colour. | summarization | ### Instruction: Share some key points about gem Ruby from the given text
### Context: A ruby is a pinkish red to blood-red colored gemstone, a variety of the mineral corundum (aluminium oxide). Ruby is one of the most popular traditional jewelry gems and is very durable. Other varieties of gem-quality corundum are called sapphires. Ruby is one of the traditional cardinal gems, alongside amethyst, sapphire, emerald, and diamond. The word ruby comes from ruber, Latin for red. The color of a ruby is due to the element chromium.
### Answer: 1. A ruby is a type of the mineral corundum that ranges in colour from pinkish red to blood-red. (aluminium oxide).
2. One of the most well-liked traditional jewellery jewels is ruby, which is also quite strong.
3. Other varieties of gem-quality stones are called as sapphires.
4. Ruby, along with amethyst, sapphire, emerald, and diamond, is one of the classic cardinal stones.
5. Ruby derives from the Latin word ruber, which means red.
6. The element chromium is responsible for a ruby's colour.</s> |
What are all the locations that walnut trees grow, listed in this article. | Walnut trees, genus Juglans, are plants which mostly grow in the northern hemisphere. They can reach ten to forty meters (30-130 ft) in height. They are used for timber. The wood is very hard, and dark in color. It is mostly used in furniture.
The fruit is eaten and can be used to make oil. The fruit of Juglans are called walnuts. Material of the walnut's outer casing was used by Native American tribes to poison fish.
Walnut trees grow from Europe eastwards to the Himalayas and southwest China. In America they are found in places from Canada to Argentina. | Walnut trees grow East-West between Europe and China as well as North-South between Canada to Argentina. | summarization | ### Instruction: What are all the locations that walnut trees grow, listed in this article.
### Context: Walnut trees, genus Juglans, are plants which mostly grow in the northern hemisphere. They can reach ten to forty meters (30-130 ft) in height. They are used for timber. The wood is very hard, and dark in color. It is mostly used in furniture.
The fruit is eaten and can be used to make oil. The fruit of Juglans are called walnuts. Material of the walnut's outer casing was used by Native American tribes to poison fish.
Walnut trees grow from Europe eastwards to the Himalayas and southwest China. In America they are found in places from Canada to Argentina.
### Answer: Walnut trees grow East-West between Europe and China as well as North-South between Canada to Argentina.</s> |
Given the list of the Big Bang Theory actress, select only the main cast. | Johnny Galecki as Leonard Hofstadter: An experimental physicist with an IQ of 173, who received his Ph.D. when he was 24 years old. Leonard is a nerd who loves video games, comic books, and Dungeons & Dragons. Leonard is the straight man of the series, sharing an apartment in Pasadena, CA, with Sheldon Cooper. Leonard is smitten with his new neighbor Penny when they first meet, and they eventually marry.
Jim Parsons as Sheldon Cooper: Originally from Galveston, Texas, Sheldon was a child prodigy with an eidetic memory who began college at the age of eleven and earned a Ph.D. at age sixteen. He is a theoretical physicist researching quantum mechanics and string theory, and, despite his IQ of 187, he finds many routine aspects of social situations difficult to grasp. He is determined to have his own way, continually boasts of his intelligence, and has an extremely ritualized way of living. Despite these quirks, he begins a relationship with Amy Farrah Fowler, and they eventually marry.
Kaley Cuoco as Penny: An aspiring actress from Omaha, Nebraska. Penny moves in across the hall from Sheldon and Leonard. She waits tables and occasionally tends the bar at The Cheesecake Factory. After giving up hope of becoming a successful actress, Penny becomes a pharmaceutical sales representative. Penny becomes friends with Bernadette and Amy, and they often hang out in each other's apartments. Penny and Leonard form a relationship and eventually marry.
Simon Helberg as Howard Wolowitz: An aerospace engineer who got his master's degree at the Massachusetts Institute of Technology. Howard is Jewish and lived with his mother, Debbie (Carol Ann Susi). Unlike Sheldon, Leonard, Raj, Bernadette, and Amy, Howard does not hold a doctorate. He trains as an astronaut and goes into space as a payload specialist on the International Space Station. Howard initially fancies himself as a ladies man, but he later starts dating Bernadette, and they get engaged and married. Howard also has a tendency to waste money on toys and argues with Bernadette because of his oddly low income as an engineer and her high income as a pharmaceutical biochemist.
Kunal Nayyar as Rajesh Koothrappali: A particle astrophysicist originally from New Delhi, India. Initially, Raj had selective mutism, rendering him unable to talk to or be around women unless under the influence of alcohol. Raj also has very feminine tastes and often takes on a stereotypical female role in his friendship with Howard as well as in the group of four men. Raj later dates Lucy (Kate Micucci), who also suffers from social anxiety, but it eventually ends. He later speaks to Penny without alcohol, overcoming his selective mutism. He begins dating Emily Sweeney, and their relationship later becomes exclusive. In the series' final season, Raj has an on-again, off-again engagement with a fellow Indian, a hotel concierge named Anu (Rati Gupta). He also has a Yorkshire Terrier named Cinnamon.
These actors were first credited as guest stars and later promoted to main cast:
Sara Gilbert as Leslie Winkle (recurring season 1, starring season 2, guest seasons 3, 9): A physicist who works in the same lab as Leonard. In appearance, she is essentially Leonard's female counterpart and has conflicting scientific theories with Sheldon. Leslie has casual sex with Leonard and later Howard. Gilbert was promoted to a main cast member during the second season but resumed guest star status because producers could not come up with enough material for the character. Gilbert returned to The Big Bang Theory for its 200th episode.
Melissa Rauch as Bernadette Rostenkowski-Wolowitz (recurring season 3, starring seasons 4–12): A young woman who initially is a co-worker at The Cheesecake Factory with Penny to pay her way through graduate school, where she is studying microbiology. Bernadette is introduced to Howard by Penny; at first, they do not get along, apparently having nothing in common. They date and later get engaged and married. Although generally a sweet and good-natured person, Bernadette has a short fuse and can be vindictive and lash out when provoked.
Mayim Bialik as Amy Farrah Fowler (guest star season 3, starring seasons 4–12): A woman selected by an online dating site as Sheldon's perfect mate, Amy is from Glendale, CA. While she and Sheldon initially share social cluelessness, after befriending Penny and Bernadette, she eventually becomes more interested in social and romantic interaction. Her relationship with Sheldon slowly progresses to the point at which Sheldon considers her his girlfriend, and eventually, they get married. Amy believes she and Penny are best friends, a sentiment that Penny does not initially share. Amy has a Ph.D. in neurobiology.
Kevin Sussman as Stuart Bloom (recurring seasons 2–5, 7, starring seasons 6, 8–12): A mild-mannered, under-confident owner of a comic book store. A competent artist, Stuart is a graduate of the prestigious Rhode Island School of Design. Though he is socially awkward, he possesses slightly better social skills. Stuart implies he is in financial trouble and that the comic book store now also is his home. He is later invited to join the guys' group while Howard is in space. Stuart gets a new job caring for Howard's mother later. After Mrs. Wolowitz's death, Stuart continues to live in her home, along with Howard and Bernadette, until he finds a place of his own.
Laura Spencer as Emily Sweeney (recurring seasons 7–8, 10, starring season 9): A dermatologist at Huntington Hospital. Emily went to Harvard and delights in the macabre, and she states that she likes her job because she can cut things with knives. Prior to meeting Raj, Emily was set up on a blind date with Howard. After finding Emily's online dating profile, Raj has Amy contact her as his wingman instead. Their relationship becomes exclusive, but Raj later breaks up with Emily when he becomes infatuated with Claire (Alessandra Torresani), a bartender and children's author. | Kaley Cuoco as Penny, Melissa Rauch as Bernadette Rostenkowski-Wolowitz, Mayim Bialik as Amy Farrah Fowler | summarization | ### Instruction: Given the list of the Big Bang Theory actress, select only the main cast.
### Context: Johnny Galecki as Leonard Hofstadter: An experimental physicist with an IQ of 173, who received his Ph.D. when he was 24 years old. Leonard is a nerd who loves video games, comic books, and Dungeons & Dragons. Leonard is the straight man of the series, sharing an apartment in Pasadena, CA, with Sheldon Cooper. Leonard is smitten with his new neighbor Penny when they first meet, and they eventually marry.
Jim Parsons as Sheldon Cooper: Originally from Galveston, Texas, Sheldon was a child prodigy with an eidetic memory who began college at the age of eleven and earned a Ph.D. at age sixteen. He is a theoretical physicist researching quantum mechanics and string theory, and, despite his IQ of 187, he finds many routine aspects of social situations difficult to grasp. He is determined to have his own way, continually boasts of his intelligence, and has an extremely ritualized way of living. Despite these quirks, he begins a relationship with Amy Farrah Fowler, and they eventually marry.
Kaley Cuoco as Penny: An aspiring actress from Omaha, Nebraska. Penny moves in across the hall from Sheldon and Leonard. She waits tables and occasionally tends the bar at The Cheesecake Factory. After giving up hope of becoming a successful actress, Penny becomes a pharmaceutical sales representative. Penny becomes friends with Bernadette and Amy, and they often hang out in each other's apartments. Penny and Leonard form a relationship and eventually marry.
Simon Helberg as Howard Wolowitz: An aerospace engineer who got his master's degree at the Massachusetts Institute of Technology. Howard is Jewish and lived with his mother, Debbie (Carol Ann Susi). Unlike Sheldon, Leonard, Raj, Bernadette, and Amy, Howard does not hold a doctorate. He trains as an astronaut and goes into space as a payload specialist on the International Space Station. Howard initially fancies himself as a ladies man, but he later starts dating Bernadette, and they get engaged and married. Howard also has a tendency to waste money on toys and argues with Bernadette because of his oddly low income as an engineer and her high income as a pharmaceutical biochemist.
Kunal Nayyar as Rajesh Koothrappali: A particle astrophysicist originally from New Delhi, India. Initially, Raj had selective mutism, rendering him unable to talk to or be around women unless under the influence of alcohol. Raj also has very feminine tastes and often takes on a stereotypical female role in his friendship with Howard as well as in the group of four men. Raj later dates Lucy (Kate Micucci), who also suffers from social anxiety, but it eventually ends. He later speaks to Penny without alcohol, overcoming his selective mutism. He begins dating Emily Sweeney, and their relationship later becomes exclusive. In the series' final season, Raj has an on-again, off-again engagement with a fellow Indian, a hotel concierge named Anu (Rati Gupta). He also has a Yorkshire Terrier named Cinnamon.
These actors were first credited as guest stars and later promoted to main cast:
Sara Gilbert as Leslie Winkle (recurring season 1, starring season 2, guest seasons 3, 9): A physicist who works in the same lab as Leonard. In appearance, she is essentially Leonard's female counterpart and has conflicting scientific theories with Sheldon. Leslie has casual sex with Leonard and later Howard. Gilbert was promoted to a main cast member during the second season but resumed guest star status because producers could not come up with enough material for the character. Gilbert returned to The Big Bang Theory for its 200th episode.
Melissa Rauch as Bernadette Rostenkowski-Wolowitz (recurring season 3, starring seasons 4–12): A young woman who initially is a co-worker at The Cheesecake Factory with Penny to pay her way through graduate school, where she is studying microbiology. Bernadette is introduced to Howard by Penny; at first, they do not get along, apparently having nothing in common. They date and later get engaged and married. Although generally a sweet and good-natured person, Bernadette has a short fuse and can be vindictive and lash out when provoked.
Mayim Bialik as Amy Farrah Fowler (guest star season 3, starring seasons 4–12): A woman selected by an online dating site as Sheldon's perfect mate, Amy is from Glendale, CA. While she and Sheldon initially share social cluelessness, after befriending Penny and Bernadette, she eventually becomes more interested in social and romantic interaction. Her relationship with Sheldon slowly progresses to the point at which Sheldon considers her his girlfriend, and eventually, they get married. Amy believes she and Penny are best friends, a sentiment that Penny does not initially share. Amy has a Ph.D. in neurobiology.
Kevin Sussman as Stuart Bloom (recurring seasons 2–5, 7, starring seasons 6, 8–12): A mild-mannered, under-confident owner of a comic book store. A competent artist, Stuart is a graduate of the prestigious Rhode Island School of Design. Though he is socially awkward, he possesses slightly better social skills. Stuart implies he is in financial trouble and that the comic book store now also is his home. He is later invited to join the guys' group while Howard is in space. Stuart gets a new job caring for Howard's mother later. After Mrs. Wolowitz's death, Stuart continues to live in her home, along with Howard and Bernadette, until he finds a place of his own.
Laura Spencer as Emily Sweeney (recurring seasons 7–8, 10, starring season 9): A dermatologist at Huntington Hospital. Emily went to Harvard and delights in the macabre, and she states that she likes her job because she can cut things with knives. Prior to meeting Raj, Emily was set up on a blind date with Howard. After finding Emily's online dating profile, Raj has Amy contact her as his wingman instead. Their relationship becomes exclusive, but Raj later breaks up with Emily when he becomes infatuated with Claire (Alessandra Torresani), a bartender and children's author.
### Answer: Kaley Cuoco as Penny, Melissa Rauch as Bernadette Rostenkowski-Wolowitz, Mayim Bialik as Amy Farrah Fowler</s> |
Please give a simple list of reasons that extraterrestrial intelligence may not exist or is very rare | Those who think that intelligent extraterrestrial life is (nearly) impossible argue that the conditions needed for the evolution of life—or at least the evolution of biological complexity—are rare or even unique to Earth. Under this assumption, called the rare Earth hypothesis, a rejection of the mediocrity principle, complex multicellular life is regarded as exceedingly unusual.
The rare Earth hypothesis argues that the evolution of biological complexity requires a host of fortuitous circumstances, such as a galactic habitable zone, a star and planet(s) having the requisite conditions, such as enough of a continuous habitable zone, the advantage of a giant guardian like Jupiter and a large moon, conditions needed to ensure the planet has a magnetosphere and plate tectonics, the chemistry of the lithosphere, atmosphere, and oceans, the role of "evolutionary pumps" such as massive glaciation and rare bolide impacts. And perhaps most importantly, advanced life needs whatever it was that led to the transition of (some) prokaryotic cells to eukaryotic cells, sexual reproduction and the Cambrian explosion.
In his book Wonderful Life (1989), Stephen Jay Gould suggested that if the "tape of life" were rewound to the time of the Cambrian explosion, and one or two tweaks made, human beings most probably never would have evolved. Other thinkers such as Fontana, Buss, and Kauffman have written about the self-organizing properties of life. | Conditions that evolved intelligent life on planet Earth may be exceedingly rare in the Universe. These reasons for that are speculated to be:
1. The solar system is in a safe location within its galaxy.
2. The location of the earth relative to the sun and other planets in the solar system gives it protection from extreme environmental conditions that would prevent life from occurring.
3. The steps that led to advanced life forms (prokaryotic cells to eukaryotic cells, sexual reproduction and the Cambrian explosion) may be very unlikely to occur. | summarization | ### Instruction: Please give a simple list of reasons that extraterrestrial intelligence may not exist or is very rare
### Context: Those who think that intelligent extraterrestrial life is (nearly) impossible argue that the conditions needed for the evolution of life—or at least the evolution of biological complexity—are rare or even unique to Earth. Under this assumption, called the rare Earth hypothesis, a rejection of the mediocrity principle, complex multicellular life is regarded as exceedingly unusual.
The rare Earth hypothesis argues that the evolution of biological complexity requires a host of fortuitous circumstances, such as a galactic habitable zone, a star and planet(s) having the requisite conditions, such as enough of a continuous habitable zone, the advantage of a giant guardian like Jupiter and a large moon, conditions needed to ensure the planet has a magnetosphere and plate tectonics, the chemistry of the lithosphere, atmosphere, and oceans, the role of "evolutionary pumps" such as massive glaciation and rare bolide impacts. And perhaps most importantly, advanced life needs whatever it was that led to the transition of (some) prokaryotic cells to eukaryotic cells, sexual reproduction and the Cambrian explosion.
In his book Wonderful Life (1989), Stephen Jay Gould suggested that if the "tape of life" were rewound to the time of the Cambrian explosion, and one or two tweaks made, human beings most probably never would have evolved. Other thinkers such as Fontana, Buss, and Kauffman have written about the self-organizing properties of life.
### Answer: Conditions that evolved intelligent life on planet Earth may be exceedingly rare in the Universe. These reasons for that are speculated to be:
1. The solar system is in a safe location within its galaxy.
2. The location of the earth relative to the sun and other planets in the solar system gives it protection from extreme environmental conditions that would prevent life from occurring.
3. The steps that led to advanced life forms (prokaryotic cells to eukaryotic cells, sexual reproduction and the Cambrian explosion) may be very unlikely to occur.</s> |
What is Augusta National Golf Club? | Augusta National Golf Club was founded by Bobby Jones and Clifford Roberts, the course was designed by Jones and Alister MacKenzie and opened for play in 1932. Since 1934, the club has played host to the annual Masters Tournament, one of the four men's major championships in professional golf, and the only major played each year at the same course. It was the top-ranked course in Golf Digest's 2009 list of America's 100 greatest courses and was the number ten-ranked course based on course architecture on Golfweek Magazine's 2011 list of best classic courses in the United States | Augusta National Golf Club, sometimes referred to as Augusta is a private Golf Club in Augusta Georgia that was opened in 1932. Augusta is famously known for hosting the Masters Tournament which is one of the four men's major championships in professional golf, and the only major played each year at the same course. | summarization | ### Instruction: What is Augusta National Golf Club?
### Context: Augusta National Golf Club was founded by Bobby Jones and Clifford Roberts, the course was designed by Jones and Alister MacKenzie and opened for play in 1932. Since 1934, the club has played host to the annual Masters Tournament, one of the four men's major championships in professional golf, and the only major played each year at the same course. It was the top-ranked course in Golf Digest's 2009 list of America's 100 greatest courses and was the number ten-ranked course based on course architecture on Golfweek Magazine's 2011 list of best classic courses in the United States
### Answer: Augusta National Golf Club, sometimes referred to as Augusta is a private Golf Club in Augusta Georgia that was opened in 1932. Augusta is famously known for hosting the Masters Tournament which is one of the four men's major championships in professional golf, and the only major played each year at the same course.</s> |
Please give me a short bulleted list of the theories that explain different aspects of the relationship between the work and family life made in this passage. | Dominant theories of the relationship
Several theories explain different aspects of the relationship between the work and family life. Boundary theory and border theory are the two fundamental theories that researchers have used to study these role conflicts. Other theories are built upon the foundations of these two theories. In the two decades since boundary theory and border theory were first proposed, the rise of Information and Communication Technologies (ICT) has drastically altered the work–life interface. Work can now be completed at any time and in any location, meaning that domains are more likely to be blended and boundaries barely exist.
Seven dominant theories have been utilized to explain this relationship on the boundary-border spectrum; These theories are: structural functioning, segmentation, compensation, supplemental and reactive compensation, role enhancement, spillover, and work enrichment model.
Structural functionalism
The roots of this theory can be traced back to the early 20th century, when industrial revolution was separating economic work from the family home. The 19th century's technological advancements in machinery and manufacturing initiated the separation of work from family. However, it was not until the early 20th century that the first view of work–family theories started to take shape. Structural-functionalism as one of the dominant sociology theories of early 20th century was a natural candidate.
The structural functionalism theory, which emerged following WWII, was largely influenced from the industrial revolution and the changes in the social role of men and women during this period. This theory implies that the life is concerned mainly with two separate spheres: productive life which happens in the workplace and affective life which is at home. Structural functionalism theory believes in the existence of radical separation between work (institution, workplace, or market) and families. According to this theory, these two (workplace and family) work best "when men and women specialize their activities in separate spheres, women at home doing expressive work and men in the workplace performing instrumental tasks" (Kingsbury & Scanzoni, 1993; as cited in MacDermid, 2005: 18).
Greedy institutions
It has been argued that the work–family conflicts, in particular role conflicts, can be interpreted in terms of Lewis A. Coser's concept of "greedy institutions". These institutions are called "greedy" in the sense that they make all-encompassing demands on the commitment and loyalty of individuals, and tend to discourage involvement in other social spheres. Institutions such as religious orders, sects, academia, top level sports, the military and senior management have been interpreted as greedy institutions. On the other hand, also the family has been interpreted as a greedy institution in consideration of the demands placed on a caretaker. When a person is involved in two greedy institutions—be it child care and university, or family and the military, or others—task and role conflicts arise.
Segmentation
Based on this theory work and family do not affect each other, since they are segmented and independent from each other. The literature also reports the usage of the terms compartmentalization, independence, separateness, disengagement, neutrality, and detachment to describe this theory.
Compensation
In 1979, Piotrkowski argued that according to this theory employees "look to their homes as havens, look to their families as sources of satisfaction lacking in the occupational sphere." What distinguishes compensation theory from the previous theories is that, in compensation theory, for the first time, the positive effect of work to family has been recognized.
Supplemental and reactive compensation
Supplemental and reactive compensation theories are two dichotomies of compensation theory which were developed during the late 1980s and the early 1990s. While compensation theory describes the behavior of employees in pursuing an alternative reward in the other sphere, supplemental and reactive compensation theories try to describe the reason behind the work–family compensation behavior of employees.
Role enhancement theory
According to this theory, the combination of certain roles has a positive, rather than a negative effect on well-being. This theory states that participation in one role is made better or easier by virtue of participation in the other role. Moreover, this theory acknowledges the negative effect of the work–family relationship, in which, only beyond a certain upper limit may overload and distress occur, however, the central focus of this perspective is mainly on the positive effects of work and family relationship, such as resource enhancement.
Work enrichment model
This theory is one of the recent models for explaining the relationship between work and family. According to this model, experience in one role (work or family) will enhance the quality of life in the other role. In other words, this model tries to explain the positive effects of the work–family relationship. | - Structural Functionalism: The theory of structural functionalism indicates that life is strictly separated between the workplace, where productive life occurs, and home or family life where affective life takes place.
- Greedy Institutions: The theory of greedy institutions posits that institutions make sweeping demands on individuals, and discourage an individual's participation in other social areas or institutions, leading to conflict when competing demands arise.
- Segmentation: The theory of segmentation argues that work and family life are fully segmented or severed from one another and therefore do not affect each other.
-Compensation: The theory of compensation states that individuals find refuge from work and its deficiencies in their home lives and the satisfaction that comes from their families.
-Supplemental and Reactive Compensation: Supplemental and reactive compensation are two theories that describe the ways in which individuals pursue alternative forms of life satisfaction while caught between the work and family social spheres.
- Role enhancement: The theory of role enhancement posits that participation in one social sphere can enhance satisfaction and participation in the other--up to certain limits beyond which overload may occur.
- Work Enrichment Model: The theory of work enrichment attempts to explain how experience in one role or social sphere can complement or increase satisfaction in another. In this way, the work enrichment model is similar to the theory of role enhancement. | summarization | ### Instruction: Please give me a short bulleted list of the theories that explain different aspects of the relationship between the work and family life made in this passage.
### Context: Dominant theories of the relationship
Several theories explain different aspects of the relationship between the work and family life. Boundary theory and border theory are the two fundamental theories that researchers have used to study these role conflicts. Other theories are built upon the foundations of these two theories. In the two decades since boundary theory and border theory were first proposed, the rise of Information and Communication Technologies (ICT) has drastically altered the work–life interface. Work can now be completed at any time and in any location, meaning that domains are more likely to be blended and boundaries barely exist.
Seven dominant theories have been utilized to explain this relationship on the boundary-border spectrum; These theories are: structural functioning, segmentation, compensation, supplemental and reactive compensation, role enhancement, spillover, and work enrichment model.
Structural functionalism
The roots of this theory can be traced back to the early 20th century, when industrial revolution was separating economic work from the family home. The 19th century's technological advancements in machinery and manufacturing initiated the separation of work from family. However, it was not until the early 20th century that the first view of work–family theories started to take shape. Structural-functionalism as one of the dominant sociology theories of early 20th century was a natural candidate.
The structural functionalism theory, which emerged following WWII, was largely influenced from the industrial revolution and the changes in the social role of men and women during this period. This theory implies that the life is concerned mainly with two separate spheres: productive life which happens in the workplace and affective life which is at home. Structural functionalism theory believes in the existence of radical separation between work (institution, workplace, or market) and families. According to this theory, these two (workplace and family) work best "when men and women specialize their activities in separate spheres, women at home doing expressive work and men in the workplace performing instrumental tasks" (Kingsbury & Scanzoni, 1993; as cited in MacDermid, 2005: 18).
Greedy institutions
It has been argued that the work–family conflicts, in particular role conflicts, can be interpreted in terms of Lewis A. Coser's concept of "greedy institutions". These institutions are called "greedy" in the sense that they make all-encompassing demands on the commitment and loyalty of individuals, and tend to discourage involvement in other social spheres. Institutions such as religious orders, sects, academia, top level sports, the military and senior management have been interpreted as greedy institutions. On the other hand, also the family has been interpreted as a greedy institution in consideration of the demands placed on a caretaker. When a person is involved in two greedy institutions—be it child care and university, or family and the military, or others—task and role conflicts arise.
Segmentation
Based on this theory work and family do not affect each other, since they are segmented and independent from each other. The literature also reports the usage of the terms compartmentalization, independence, separateness, disengagement, neutrality, and detachment to describe this theory.
Compensation
In 1979, Piotrkowski argued that according to this theory employees "look to their homes as havens, look to their families as sources of satisfaction lacking in the occupational sphere." What distinguishes compensation theory from the previous theories is that, in compensation theory, for the first time, the positive effect of work to family has been recognized.
Supplemental and reactive compensation
Supplemental and reactive compensation theories are two dichotomies of compensation theory which were developed during the late 1980s and the early 1990s. While compensation theory describes the behavior of employees in pursuing an alternative reward in the other sphere, supplemental and reactive compensation theories try to describe the reason behind the work–family compensation behavior of employees.
Role enhancement theory
According to this theory, the combination of certain roles has a positive, rather than a negative effect on well-being. This theory states that participation in one role is made better or easier by virtue of participation in the other role. Moreover, this theory acknowledges the negative effect of the work–family relationship, in which, only beyond a certain upper limit may overload and distress occur, however, the central focus of this perspective is mainly on the positive effects of work and family relationship, such as resource enhancement.
Work enrichment model
This theory is one of the recent models for explaining the relationship between work and family. According to this model, experience in one role (work or family) will enhance the quality of life in the other role. In other words, this model tries to explain the positive effects of the work–family relationship.
### Answer: - Structural Functionalism: The theory of structural functionalism indicates that life is strictly separated between the workplace, where productive life occurs, and home or family life where affective life takes place.
- Greedy Institutions: The theory of greedy institutions posits that institutions make sweeping demands on individuals, and discourage an individual's participation in other social areas or institutions, leading to conflict when competing demands arise.
- Segmentation: The theory of segmentation argues that work and family life are fully segmented or severed from one another and therefore do not affect each other.
-Compensation: The theory of compensation states that individuals find refuge from work and its deficiencies in their home lives and the satisfaction that comes from their families.
-Supplemental and Reactive Compensation: Supplemental and reactive compensation are two theories that describe the ways in which individuals pursue alternative forms of life satisfaction while caught between the work and family social spheres.
- Role enhancement: The theory of role enhancement posits that participation in one social sphere can enhance satisfaction and participation in the other--up to certain limits beyond which overload may occur.
- Work Enrichment Model: The theory of work enrichment attempts to explain how experience in one role or social sphere can complement or increase satisfaction in another. In this way, the work enrichment model is similar to the theory of role enhancement.</s> |
Where is the Eclectochromis lobochilus fish generally found? | Eclectochromis lobochilus is a species of fish in the family Cichlidae. It is found in Malawi, Mozambique, and Tanzania. Its endemic to Lake Malawi.
This species is found along rocky shores and sometimes in the intermediate habitat between sandy and rock areas. It occurs at depths of 5–15 metres (16–49 ft). It feeds on invertebrates, mainly adult and larval in insects, that hide among aquatic vegetation or algae. The breeding males defend a cave among the rocks. The females mouthbrood the eggs and fry, guarding them after they have been released. This species is known as "Haplochromis Hertae" in the aquarium trade. | The Eclectochromis lobochilus fish is generally found in Malawi, Mozambique, and Tanzania. | summarization | ### Instruction: Where is the Eclectochromis lobochilus fish generally found?
### Context: Eclectochromis lobochilus is a species of fish in the family Cichlidae. It is found in Malawi, Mozambique, and Tanzania. Its endemic to Lake Malawi.
This species is found along rocky shores and sometimes in the intermediate habitat between sandy and rock areas. It occurs at depths of 5–15 metres (16–49 ft). It feeds on invertebrates, mainly adult and larval in insects, that hide among aquatic vegetation or algae. The breeding males defend a cave among the rocks. The females mouthbrood the eggs and fry, guarding them after they have been released. This species is known as "Haplochromis Hertae" in the aquarium trade.
### Answer: The Eclectochromis lobochilus fish is generally found in Malawi, Mozambique, and Tanzania.</s> |
Summarise the biography of Andrew Huberman and his most popular achievements. | Andrew D. Huberman is an American neuroscientist and tenured associate professor in the department of neurobiology and psychiatry and behavioral sciences at Stanford University School of Medicine who has made contributions to the brain development, brain plasticity, and neural regeneration and repair fields. Much of his work is focused on the visual system, including the mechanisms controlling light-mediated activation of the circadian and autonomic arousal centers in the brain, as well as brain control over conscious vision or sight.[better source needed] Huberman has been credited with coining the term "Non-Sleep Deep Rest" (NSDR), which he earlier referred to as Yog Nindra, which is to practices that place the brain and body into shallow sleep to accelerate neuroplasticity and help offset mental and physical fatigue.[better source needed]
Graduate and postdoctoral research
From 1998 to 2000, Huberman worked in the laboratory of Irving Zucker, as well as working with Marc Breedlove, at University of California, Berkeley, as part of a team that defined how early androgen exposure impacts development, and he performed the first experiments defining the structure of binocular visual pathways that set the circadian clock in the hypothalamus. From 2000 to 2004, working as a PhD student in the laboratory of Barbara Chapman at the Center for Neuroscience at the University of California, Davis, Huberman discovered that neural activity and axon guidance molecules work in concert to ensure proper wiring of binocular maps in the brain. Huberman was a Helen Hay Whitney postdoctoral fellow researcher in the laboratory of Ben A. Barres from 2005 to 2010.
Huberman was an assistant professor of neurobiology and neuroscience at University of California, San Diego, from 2011 to 2015. His lab pioneered using genetic tools to study the visual system function, development and disease. Among the Huberman Lab's discoveries was the finding that specific types of retinal neurons degenerate early in glaucoma a common blinding disease depleting sight in over 70 million people, for which there is no cure.
After moving to Stanford in 2016, Huberman discovered and published the use of non-invasive methods such as visual stimulation to enhance regeneration of damaged retinal neurons, leading to partial recovery from blindness, especially when the stimulation is paired with specific forms of gene therapy. The work was covered extensively in the popular press, including Time magazine and Scientific American and is part of the National Eye Institute's Audacious Goals Initiative to restore vision to the blind[citation needed]. The Huberman Lab extended those findings to develop a human clinical trial using virtual reality technology to stimulate regeneration and plasticity of damaged retinal and other visual system neurons.
In 2017, the Huberman Lab created a virtual reality platform for probing the neural mechanisms underlying pathological fear and anxiety. That work involved collecting 360-degree video of various fear-inducing scenarios such as heights and claustrophobia as well as atypical fear-inducing situations such as swimming with great white sharks. The Huberman VR platform is aimed at making discoveries that will lead to developing new tools for humans to adjust their state in order to promote adaptive coping with stress. The first installment of that work was published in Current Biology, in 2021 as a collaboration with neurosurgeon and neuroscientist Edward Chang (UCSF), wherein they reported that specific patterns of insular cortex brain activity correlate with and may predict anxiety responses.
In May, 2018, Huberman Laboratory published an article in the journal Nature reporting its discovery of two new mammalian brain circuits: one that promotes fear and paralysis, and another that promotes "courageous"/confrontational reaction, to visually-evoked threats. That discovery prompted the now ongoing exploration of how these brain regions may be involved in humans suffering from anxiety-related disorders such as phobias and generalized anxiety.
In 2020, Huberman initiated a collaboration with the laboratory of David Spiegel in the Stanford Department of Psychiatry and Behavioral Sciences, to systematically study how particular patterns of respiration (i.e., breathing/breathwork) and the visual system influence the autonomic nervous system, stress, and other brain states, including sleep.
In 2021, Huberman launched the "Huberman Lab" podcast with the goal of translating neuroscience into tools that can be applied in everyday life. It is a top podcast on Apple Podcasts and Spotify. He was originally inspired to start the podcast after his appearance on the Lex Fridman Podcast. Huberman also covers the evidence on supplements which include Tongkat Ali (Eurycoma Longifolia), Fadogia Agrestis and many others. | Andrew Huberman is a neuro scientists, currently working as a professor at Stanford school of medicine. He is focused on visual system and a pioneer in the field. He also runs "Huberman Lab" podcast which is very successfull on Apple podcasts and Spotify., | summarization | ### Instruction: Summarise the biography of Andrew Huberman and his most popular achievements.
### Context: Andrew D. Huberman is an American neuroscientist and tenured associate professor in the department of neurobiology and psychiatry and behavioral sciences at Stanford University School of Medicine who has made contributions to the brain development, brain plasticity, and neural regeneration and repair fields. Much of his work is focused on the visual system, including the mechanisms controlling light-mediated activation of the circadian and autonomic arousal centers in the brain, as well as brain control over conscious vision or sight.[better source needed] Huberman has been credited with coining the term "Non-Sleep Deep Rest" (NSDR), which he earlier referred to as Yog Nindra, which is to practices that place the brain and body into shallow sleep to accelerate neuroplasticity and help offset mental and physical fatigue.[better source needed]
Graduate and postdoctoral research
From 1998 to 2000, Huberman worked in the laboratory of Irving Zucker, as well as working with Marc Breedlove, at University of California, Berkeley, as part of a team that defined how early androgen exposure impacts development, and he performed the first experiments defining the structure of binocular visual pathways that set the circadian clock in the hypothalamus. From 2000 to 2004, working as a PhD student in the laboratory of Barbara Chapman at the Center for Neuroscience at the University of California, Davis, Huberman discovered that neural activity and axon guidance molecules work in concert to ensure proper wiring of binocular maps in the brain. Huberman was a Helen Hay Whitney postdoctoral fellow researcher in the laboratory of Ben A. Barres from 2005 to 2010.
Huberman was an assistant professor of neurobiology and neuroscience at University of California, San Diego, from 2011 to 2015. His lab pioneered using genetic tools to study the visual system function, development and disease. Among the Huberman Lab's discoveries was the finding that specific types of retinal neurons degenerate early in glaucoma a common blinding disease depleting sight in over 70 million people, for which there is no cure.
After moving to Stanford in 2016, Huberman discovered and published the use of non-invasive methods such as visual stimulation to enhance regeneration of damaged retinal neurons, leading to partial recovery from blindness, especially when the stimulation is paired with specific forms of gene therapy. The work was covered extensively in the popular press, including Time magazine and Scientific American and is part of the National Eye Institute's Audacious Goals Initiative to restore vision to the blind[citation needed]. The Huberman Lab extended those findings to develop a human clinical trial using virtual reality technology to stimulate regeneration and plasticity of damaged retinal and other visual system neurons.
In 2017, the Huberman Lab created a virtual reality platform for probing the neural mechanisms underlying pathological fear and anxiety. That work involved collecting 360-degree video of various fear-inducing scenarios such as heights and claustrophobia as well as atypical fear-inducing situations such as swimming with great white sharks. The Huberman VR platform is aimed at making discoveries that will lead to developing new tools for humans to adjust their state in order to promote adaptive coping with stress. The first installment of that work was published in Current Biology, in 2021 as a collaboration with neurosurgeon and neuroscientist Edward Chang (UCSF), wherein they reported that specific patterns of insular cortex brain activity correlate with and may predict anxiety responses.
In May, 2018, Huberman Laboratory published an article in the journal Nature reporting its discovery of two new mammalian brain circuits: one that promotes fear and paralysis, and another that promotes "courageous"/confrontational reaction, to visually-evoked threats. That discovery prompted the now ongoing exploration of how these brain regions may be involved in humans suffering from anxiety-related disorders such as phobias and generalized anxiety.
In 2020, Huberman initiated a collaboration with the laboratory of David Spiegel in the Stanford Department of Psychiatry and Behavioral Sciences, to systematically study how particular patterns of respiration (i.e., breathing/breathwork) and the visual system influence the autonomic nervous system, stress, and other brain states, including sleep.
In 2021, Huberman launched the "Huberman Lab" podcast with the goal of translating neuroscience into tools that can be applied in everyday life. It is a top podcast on Apple Podcasts and Spotify. He was originally inspired to start the podcast after his appearance on the Lex Fridman Podcast. Huberman also covers the evidence on supplements which include Tongkat Ali (Eurycoma Longifolia), Fadogia Agrestis and many others.
### Answer: Andrew Huberman is a neuro scientists, currently working as a professor at Stanford school of medicine. He is focused on visual system and a pioneer in the field. He also runs "Huberman Lab" podcast which is very successfull on Apple podcasts and Spotify.,</s> |
Summarize the meaning of "Lovers" in the slogan "Virginia is for lovers" | "Virginia is for Lovers" is the tourism and travel slogan of the U.S. commonwealth of Virginia. Used since 1969, it has become a well-recognized and often imitated part of American jargon. In 2012, Advertising Age called "Virginia is for Lovers" "one of the most iconic ad campaigns in the past 50 years."
History
A team led by David N. Martin and George Woltz of Martin and Woltz Inc. of Richmond, Virginia created the slogan after winning the Virginia State Travel account in 1968. Originally, they had come up with history ads, "Virginia is for History Lovers"; beach ads, "Virginia is for Beach Lovers"; and mountain ads, "Virginia is for Mountain Lovers". This approach was eventually discarded as too limiting, and the qualifiers were dropped. Martin and Woltz Inc. eventually gained prominence and grew to become The Martin Agency. The Martin Agency says that, contrary to some claims, the slogan is not a reference to the United States Supreme Court's 1967 ruling in Loving v. Virginia, which legalized interracial marriage in the United States.
In 1969, the Virginia State Travel Service (now the Virginia Tourism Corporation) adopted the "Virginia is for Lovers" slogan and the first ad campaign using the tagline appeared in March 1969, in an issue of Modern Bride.
In 2009, "Virginia is for Lovers" was inducted into the Madison Avenue Advertising Walk of Fame, a creation of Advertising Week, the largest collection of advertising, marketing and media professionals in North America. These inductees were also included in the Advertising Icon Museum. Also in 2009, "Virginia is for Lovers" was acknowledged as one of the top ten tourism marketing campaigns of all time by Forbes.com. In 2016, the Virginia Tourism Corporation began selling apparel with a rainbow-colored heart in the logo as part of an LGBT tourism promotion campaign. The slogan began appearing on the state's license plates in 2014 and the state's welcome signs in 2015.
In popular culture
The slogan has been mentioned by a variety of artists over the years. In 2005, post-hardcore band Hawthorne Heights alluded to the phrase in the title of their single “Ohio Is for Lovers,” which would become widely regarded as an anthem of the early 2000’s emo music scene. American Idol winner Jordin Sparks recorded a song called "Virginia is for Lovers" in 2007, which was featured as a bonus track on her self-titled debut album. The slogan is mentioned in The Hold Steady song "Killer Parties", and Willie Adler, guitarist for Lamb of God, has the slogan printed on the neck of his custom guitars. The slogan is also mentioned in the Kenny Chesney song "Get Along". Virginia Beach-based rap group Clipse include the slogan in their song "Virginia," from their 2002 album Lord Willin', proclaiming: "Virginia's for lovers, but trust there's hate here / For out-of-towners, who think they're gon' move weight here." | - "Virginia is for Lovers" is a tourism and travel slogan adopted by the Virginia State Travel Service (now the Virginia Tourism Corporation) since 1969
- The "lovers" in the slogan was originally attached to qualifiers such as history lovers, beach lovers, and mountain lovers. The qualifiers were considered too limited and eventually dropped
- Contrary to claims, the word "Lovers" in the slogan bears no reference to the United States Supreme Court's case Loving v. Virginia which legalized interracial marriage in 1967 | summarization | ### Instruction: Summarize the meaning of "Lovers" in the slogan "Virginia is for lovers"
### Context: "Virginia is for Lovers" is the tourism and travel slogan of the U.S. commonwealth of Virginia. Used since 1969, it has become a well-recognized and often imitated part of American jargon. In 2012, Advertising Age called "Virginia is for Lovers" "one of the most iconic ad campaigns in the past 50 years."
History
A team led by David N. Martin and George Woltz of Martin and Woltz Inc. of Richmond, Virginia created the slogan after winning the Virginia State Travel account in 1968. Originally, they had come up with history ads, "Virginia is for History Lovers"; beach ads, "Virginia is for Beach Lovers"; and mountain ads, "Virginia is for Mountain Lovers". This approach was eventually discarded as too limiting, and the qualifiers were dropped. Martin and Woltz Inc. eventually gained prominence and grew to become The Martin Agency. The Martin Agency says that, contrary to some claims, the slogan is not a reference to the United States Supreme Court's 1967 ruling in Loving v. Virginia, which legalized interracial marriage in the United States.
In 1969, the Virginia State Travel Service (now the Virginia Tourism Corporation) adopted the "Virginia is for Lovers" slogan and the first ad campaign using the tagline appeared in March 1969, in an issue of Modern Bride.
In 2009, "Virginia is for Lovers" was inducted into the Madison Avenue Advertising Walk of Fame, a creation of Advertising Week, the largest collection of advertising, marketing and media professionals in North America. These inductees were also included in the Advertising Icon Museum. Also in 2009, "Virginia is for Lovers" was acknowledged as one of the top ten tourism marketing campaigns of all time by Forbes.com. In 2016, the Virginia Tourism Corporation began selling apparel with a rainbow-colored heart in the logo as part of an LGBT tourism promotion campaign. The slogan began appearing on the state's license plates in 2014 and the state's welcome signs in 2015.
In popular culture
The slogan has been mentioned by a variety of artists over the years. In 2005, post-hardcore band Hawthorne Heights alluded to the phrase in the title of their single “Ohio Is for Lovers,” which would become widely regarded as an anthem of the early 2000’s emo music scene. American Idol winner Jordin Sparks recorded a song called "Virginia is for Lovers" in 2007, which was featured as a bonus track on her self-titled debut album. The slogan is mentioned in The Hold Steady song "Killer Parties", and Willie Adler, guitarist for Lamb of God, has the slogan printed on the neck of his custom guitars. The slogan is also mentioned in the Kenny Chesney song "Get Along". Virginia Beach-based rap group Clipse include the slogan in their song "Virginia," from their 2002 album Lord Willin', proclaiming: "Virginia's for lovers, but trust there's hate here / For out-of-towners, who think they're gon' move weight here."
### Answer: - "Virginia is for Lovers" is a tourism and travel slogan adopted by the Virginia State Travel Service (now the Virginia Tourism Corporation) since 1969
- The "lovers" in the slogan was originally attached to qualifiers such as history lovers, beach lovers, and mountain lovers. The qualifiers were considered too limited and eventually dropped
- Contrary to claims, the word "Lovers" in the slogan bears no reference to the United States Supreme Court's case Loving v. Virginia which legalized interracial marriage in 1967</s> |
How did Pokemon start? | The Pokémon franchise began as Pocket Monsters: Red and Green (later released outside of Japan as Pokémon Red and Blue), a pair of video games for the original Game Boy handheld system that were developed by Game Freak and published by Nintendo in February 1996. Pokémon soon became a media mix franchise adapted into various different media, with the Pokémon Trading Card Game released in October 1996, the Pokémon Adventures manga first released in Japan in March 1997, and the Pocket Monsters: Original Series released in April 1997. Pocket Pikachu was released in Japan in March 1998, with the first ever Pokémon film, Pokémon: The First Movie, first released in Japan in July 1998.
In 1998, Nintendo spent $25 million promoting Pokémon in the United States in partnership with Hasbro, KFC, and others. Nintendo initially feared that Pokémon was too Japanese for Western tastes but Alfred Kahn, then CEO of 4Kids Entertainment, convinced the company otherwise. The one who spotted Pokémon's potential in the United States was Kahn's colleague Thomas Kenney.
In November 2005, 4Kids Entertainment, which had managed the non-game related licensing of Pokémon, announced that it had agreed not to renew the Pokémon representation agreement. The Pokémon Company International oversees all Pokémon licensing outside Asia. In 2006, the franchise celebrated its tenth anniversary with the release of Pokémon Diamond and Pearl. In 2016, the Pokémon Company celebrated Pokémon's 20th anniversary by airing an ad during Super Bowl 50 in January and re-releasing the first Pokémon video games 1996 Game Boy games Pokémon Red, Green (only in Japan), and Blue, and the 1998 Game Boy Color game Pokémon Yellow for the Nintendo 3DS on February 26, 2016. The mobile augmented reality game Pokémon Go was released in July 2016. Pokémon Sun and Moon also released in the same year. The first live-action film in the franchise, Pokémon Detective Pikachu, based on the 2018 Nintendo 3DS spin-off game Detective Pikachu, was released in 2019. The eighth generation of core series games began with Pokémon Sword and Shield, released worldwide on the Nintendo Switch on November 15, 2019. | Pokemon started out as Pocket Monsters in February of 1996 and was released as a pair of games for the Nintendo Game Boy. It quickly evolved into a mix of media such as the Pokemon Trading Card Game, the Pokemon manga, and the Pokemon anime show in 1997. After Pokemon continued gaining popularity in Japan in 1998, Nintendo spent $25 million to bring Pokemon to the United States, which was also a huge success, and the rest is history. | summarization | ### Instruction: How did Pokemon start?
### Context: The Pokémon franchise began as Pocket Monsters: Red and Green (later released outside of Japan as Pokémon Red and Blue), a pair of video games for the original Game Boy handheld system that were developed by Game Freak and published by Nintendo in February 1996. Pokémon soon became a media mix franchise adapted into various different media, with the Pokémon Trading Card Game released in October 1996, the Pokémon Adventures manga first released in Japan in March 1997, and the Pocket Monsters: Original Series released in April 1997. Pocket Pikachu was released in Japan in March 1998, with the first ever Pokémon film, Pokémon: The First Movie, first released in Japan in July 1998.
In 1998, Nintendo spent $25 million promoting Pokémon in the United States in partnership with Hasbro, KFC, and others. Nintendo initially feared that Pokémon was too Japanese for Western tastes but Alfred Kahn, then CEO of 4Kids Entertainment, convinced the company otherwise. The one who spotted Pokémon's potential in the United States was Kahn's colleague Thomas Kenney.
In November 2005, 4Kids Entertainment, which had managed the non-game related licensing of Pokémon, announced that it had agreed not to renew the Pokémon representation agreement. The Pokémon Company International oversees all Pokémon licensing outside Asia. In 2006, the franchise celebrated its tenth anniversary with the release of Pokémon Diamond and Pearl. In 2016, the Pokémon Company celebrated Pokémon's 20th anniversary by airing an ad during Super Bowl 50 in January and re-releasing the first Pokémon video games 1996 Game Boy games Pokémon Red, Green (only in Japan), and Blue, and the 1998 Game Boy Color game Pokémon Yellow for the Nintendo 3DS on February 26, 2016. The mobile augmented reality game Pokémon Go was released in July 2016. Pokémon Sun and Moon also released in the same year. The first live-action film in the franchise, Pokémon Detective Pikachu, based on the 2018 Nintendo 3DS spin-off game Detective Pikachu, was released in 2019. The eighth generation of core series games began with Pokémon Sword and Shield, released worldwide on the Nintendo Switch on November 15, 2019.
### Answer: Pokemon started out as Pocket Monsters in February of 1996 and was released as a pair of games for the Nintendo Game Boy. It quickly evolved into a mix of media such as the Pokemon Trading Card Game, the Pokemon manga, and the Pokemon anime show in 1997. After Pokemon continued gaining popularity in Japan in 1998, Nintendo spent $25 million to bring Pokemon to the United States, which was also a huge success, and the rest is history.</s> |
What was the first Porsche 911 with AWD? | The 993 Turbo coupé was introduced in 1995. It featured a new twin-turbocharged engine displacing 3.6 liters and generating a maximum power output of 300 kW (408 PS; 402 hp). Air-to-air intercoolers, electronic engine management, redesigned cylinder heads, and other modified engine internals completed the new engine. The 993 Turbo was the first 911 Turbo with all-wheel drive, taken from the 959 flagship model. The Turbo's bodywork differs from the Carrera by widened rear wheel arches (about 6 cm), redesigned front and rear bumper moldings, and a fixed "whale tail" rear wing housing the intercoolers. New 18-inch (460 mm) alloy wheels with hollow spokes were standard. | The 993 had a Turbo variant that started in 1995. It was the first 911 Turbo with AWD. This AWD system was taken from the 959 flagship model. | summarization | ### Instruction: What was the first Porsche 911 with AWD?
### Context: The 993 Turbo coupé was introduced in 1995. It featured a new twin-turbocharged engine displacing 3.6 liters and generating a maximum power output of 300 kW (408 PS; 402 hp). Air-to-air intercoolers, electronic engine management, redesigned cylinder heads, and other modified engine internals completed the new engine. The 993 Turbo was the first 911 Turbo with all-wheel drive, taken from the 959 flagship model. The Turbo's bodywork differs from the Carrera by widened rear wheel arches (about 6 cm), redesigned front and rear bumper moldings, and a fixed "whale tail" rear wing housing the intercoolers. New 18-inch (460 mm) alloy wheels with hollow spokes were standard.
### Answer: The 993 had a Turbo variant that started in 1995. It was the first 911 Turbo with AWD. This AWD system was taken from the 959 flagship model.</s> |
What made C. Shannon Bacon famous | C. Shannon Bacon (born 1971/1972) is an American attorney, legal scholar, and jurist serving as the chief justice of the New Mexico Supreme Court.
Early life and education
Bacon was raised in North Valley, New Mexico. She earned a Bachelor of Arts from Creighton University in Omaha and a Juris Doctor from the Creighton University School of Law.
Career
After graduating from law school, Bacon returned to Albuquerque, where she was admitted to the State Bar of New Mexico in 1997. She was formerly partner at a pair of Albuquerque law firms and clerked under Judge A. Joseph Alarid at the New Mexico Court of Appeals. Bacon is an adjunct professor at the University of New Mexico School of Law, where she teaches courses on evidence and trial practice.
Bacon identifies as a lesbian. She is the first openly LGBT member of the New Mexico Supreme Court.[citation needed] | C. Shannon Bacon (born 1971/1972) is an American attorney, legal scholar, and jurist serving as the chief justice of the New Mexico Supreme Court. Bacon identifies as a lesbian. She is the first openly LGBT member of the New Mexico Supreme Court.
Bacon was raised in North Valley, New Mexico. She earned a Bachelor of Arts from Creighton University in Omaha and a Juris Doctor from the Creighton University School of Law.
After graduating from law school, Bacon returned to Albuquerque, where she was admitted to the State Bar of New Mexico in 1997. She was formerly partner at a pair of Albuquerque law firms and clerked under Judge A. Joseph Alarid at the New Mexico Court of Appeals. Bacon is an adjunct professor at the University of New Mexico School of Law, where she teaches courses on evidence and trial practice. | summarization | ### Instruction: What made C. Shannon Bacon famous
### Context: C. Shannon Bacon (born 1971/1972) is an American attorney, legal scholar, and jurist serving as the chief justice of the New Mexico Supreme Court.
Early life and education
Bacon was raised in North Valley, New Mexico. She earned a Bachelor of Arts from Creighton University in Omaha and a Juris Doctor from the Creighton University School of Law.
Career
After graduating from law school, Bacon returned to Albuquerque, where she was admitted to the State Bar of New Mexico in 1997. She was formerly partner at a pair of Albuquerque law firms and clerked under Judge A. Joseph Alarid at the New Mexico Court of Appeals. Bacon is an adjunct professor at the University of New Mexico School of Law, where she teaches courses on evidence and trial practice.
Bacon identifies as a lesbian. She is the first openly LGBT member of the New Mexico Supreme Court.[citation needed]
### Answer: C. Shannon Bacon (born 1971/1972) is an American attorney, legal scholar, and jurist serving as the chief justice of the New Mexico Supreme Court. Bacon identifies as a lesbian. She is the first openly LGBT member of the New Mexico Supreme Court.
Bacon was raised in North Valley, New Mexico. She earned a Bachelor of Arts from Creighton University in Omaha and a Juris Doctor from the Creighton University School of Law.
After graduating from law school, Bacon returned to Albuquerque, where she was admitted to the State Bar of New Mexico in 1997. She was formerly partner at a pair of Albuquerque law firms and clerked under Judge A. Joseph Alarid at the New Mexico Court of Appeals. Bacon is an adjunct professor at the University of New Mexico School of Law, where she teaches courses on evidence and trial practice.</s> |
Using examples taken from the text give me a list of the first generation of "skyscrapers" located in the city of Chicago. | Early Chicago Skyscrapers is a nomination comprising nine buildings in Chicago's Loop district for inclusion on UNESCO's World Heritage Site list.Submitted by the US Department of the Interior in 2017, it is currently on the tentative list considered for nomination as a UNESCO designated World Heritage Site. Only properties that have been previously listed on a tentative list can be nominated for the World Heritage List.
These buildings were constructed in the last 20 years of the 19th century and represent the first generation of "skyscrapers", high-rise structures reaching up to 20 stories. Construction of these buildings employed novel approaches and technologies, such as the use of steel frames, first elevators, electric lights, and terracotta fireproofing. The architects developed a new aesthetics for the exterior of this new type of buildings. The skyscrapers listed are the Auditorium Building, Second Leiter Building, Marquette Building, Rookery Building, Monadnock Building, Old Colony Building, Fisher Building, Schlesinger & Mayer Building, and Ludington Building. | Early Chicago Skyscrapers is a term which describes the nine buildings in the Loop district of Chicago, Illinois in the United States. These nine buildings were submitted by the US Department of the Interior in 2017 to be considered as a UNESCO designated World Heritage Site. These buildings are the Auditorium Building, Second Leiter Building, Marquette Building, Rookery Building, Monadnock Building, Old Colony Building, Fisher Building, Schlesinger & Mayer Building, and Ludington Building. | summarization | ### Instruction: Using examples taken from the text give me a list of the first generation of "skyscrapers" located in the city of Chicago.
### Context: Early Chicago Skyscrapers is a nomination comprising nine buildings in Chicago's Loop district for inclusion on UNESCO's World Heritage Site list.Submitted by the US Department of the Interior in 2017, it is currently on the tentative list considered for nomination as a UNESCO designated World Heritage Site. Only properties that have been previously listed on a tentative list can be nominated for the World Heritage List.
These buildings were constructed in the last 20 years of the 19th century and represent the first generation of "skyscrapers", high-rise structures reaching up to 20 stories. Construction of these buildings employed novel approaches and technologies, such as the use of steel frames, first elevators, electric lights, and terracotta fireproofing. The architects developed a new aesthetics for the exterior of this new type of buildings. The skyscrapers listed are the Auditorium Building, Second Leiter Building, Marquette Building, Rookery Building, Monadnock Building, Old Colony Building, Fisher Building, Schlesinger & Mayer Building, and Ludington Building.
### Answer: Early Chicago Skyscrapers is a term which describes the nine buildings in the Loop district of Chicago, Illinois in the United States. These nine buildings were submitted by the US Department of the Interior in 2017 to be considered as a UNESCO designated World Heritage Site. These buildings are the Auditorium Building, Second Leiter Building, Marquette Building, Rookery Building, Monadnock Building, Old Colony Building, Fisher Building, Schlesinger & Mayer Building, and Ludington Building.</s> |
Which of the achievements listed in the below passage would be considered the best example of an "outlier" for a single NBA game? | After the Lakers lost the 2004 NBA Finals, O'Neal was traded and Bryant became the cornerstone of the franchise. He led the NBA in scoring in the 2005–06 and 2006–07 seasons and was named league MVP in 2008. On January 22, 2006, he scored a career-high 81 points; the second most points scored in a single NBA game, behind Wilt Chamberlain's 100-point game. Bryant led the team to consecutive championships in 2009 and 2010, being named NBA Finals MVP on both occasions. He continued to be among the premier players in the league through the 2012–13 season, when he suffered a torn achilles tendon at age 34. His next two seasons were cut short by injuries to his knee and shoulder, respectively. Citing physical decline, Bryant retired after the 2015–16 season. In 2017, the Lakers retired both his Nos. 8 and 24, making him the only player in NBA history to have multiple numbers retired by the same franchise. | Kobe Bryant scoring 81 points in a single NBA game is an outlier. For context, Kobe averaged 25 points per game for his NBA career. 81 points in one game is an outlier for any NBA player in history. | summarization | ### Instruction: Which of the achievements listed in the below passage would be considered the best example of an "outlier" for a single NBA game?
### Context: After the Lakers lost the 2004 NBA Finals, O'Neal was traded and Bryant became the cornerstone of the franchise. He led the NBA in scoring in the 2005–06 and 2006–07 seasons and was named league MVP in 2008. On January 22, 2006, he scored a career-high 81 points; the second most points scored in a single NBA game, behind Wilt Chamberlain's 100-point game. Bryant led the team to consecutive championships in 2009 and 2010, being named NBA Finals MVP on both occasions. He continued to be among the premier players in the league through the 2012–13 season, when he suffered a torn achilles tendon at age 34. His next two seasons were cut short by injuries to his knee and shoulder, respectively. Citing physical decline, Bryant retired after the 2015–16 season. In 2017, the Lakers retired both his Nos. 8 and 24, making him the only player in NBA history to have multiple numbers retired by the same franchise.
### Answer: Kobe Bryant scoring 81 points in a single NBA game is an outlier. For context, Kobe averaged 25 points per game for his NBA career. 81 points in one game is an outlier for any NBA player in history.</s> |
The story opens in Los Angeles in the 21st century, an unspecified number of years after a worldwide economic collapse. Los Angeles is no longer part of the United States since the federal government has ceded most of its power and territory to private organizations and entrepreneurs. Franchising, individual sovereignty, and private vehicles reign supreme. Mercenary armies compete for national defense contracts, while private security guards preserve the peace in sovereign gated housing developments.: 45 Highway companies compete to attract drivers to their roads,: 7 and all mail delivery is by hired courier.: 306 The remnants of government maintain authority only in isolated compounds, where they do tedious make-work that is, by and large, irrelevant to the society around them.: 176 Much of the world's territory has been carved up into sovereign enclaves known as Franchise-Organized Quasi-National Entities (FOQNEs),: 14 each run by its own big business franchise (such as "Mr. Lee's Greater Hong Kong", or the corporatized American Mafia), or various residential burbclaves (quasi-sovereign gated communities). In this future, American institutions are far different from those in the actual United States at the time the book was published; for example, a for-profit organization, the CIC, has evolved from the CIA's merger with the Library of Congress.: 22 | What is the setting of Snow Crash? | Snow Crash is set in the Los Angeles of the future in which the government has collapsed and been replaced by corporations, mercenary armies, and a new type of organization, the Franchise-Organized Quasi-National Entity. Examples of the latter include Mr. Lee's Greater Hong Kong and the corporatized American Mafia. Government functions like road building, policing, and mail delivery have been taken over by corporations. | summarization | ### Instruction: The story opens in Los Angeles in the 21st century, an unspecified number of years after a worldwide economic collapse. Los Angeles is no longer part of the United States since the federal government has ceded most of its power and territory to private organizations and entrepreneurs. Franchising, individual sovereignty, and private vehicles reign supreme. Mercenary armies compete for national defense contracts, while private security guards preserve the peace in sovereign gated housing developments.: 45 Highway companies compete to attract drivers to their roads,: 7 and all mail delivery is by hired courier.: 306 The remnants of government maintain authority only in isolated compounds, where they do tedious make-work that is, by and large, irrelevant to the society around them.: 176 Much of the world's territory has been carved up into sovereign enclaves known as Franchise-Organized Quasi-National Entities (FOQNEs),: 14 each run by its own big business franchise (such as "Mr. Lee's Greater Hong Kong", or the corporatized American Mafia), or various residential burbclaves (quasi-sovereign gated communities). In this future, American institutions are far different from those in the actual United States at the time the book was published; for example, a for-profit organization, the CIC, has evolved from the CIA's merger with the Library of Congress.: 22
### Context: What is the setting of Snow Crash?
### Answer: Snow Crash is set in the Los Angeles of the future in which the government has collapsed and been replaced by corporations, mercenary armies, and a new type of organization, the Franchise-Organized Quasi-National Entity. Examples of the latter include Mr. Lee's Greater Hong Kong and the corporatized American Mafia. Government functions like road building, policing, and mail delivery have been taken over by corporations.</s> |
What is Henri-Cartier Bresson known for? | Magnum Photos
In early 1947, Cartier-Bresson, with Robert Capa, David Seymour, William Vandivert and George Rodger founded Magnum Photos. Capa's brainchild, Magnum was a cooperative picture agency owned by its members. The team split photo assignments among the members. Rodger, who had quit Life in London after covering World War II, would cover Africa and the Middle East. Chim, who spoke a variety of European languages, would work in Europe. Cartier-Bresson would be assigned to India and China. Vandivert, who had also left Life, would work in America, and Capa would work anywhere that had an assignment. Maria Eisner managed the Paris office and Rita Vandivert, Vandivert's wife, managed the New York office and became Magnum's first president.
Cartier-Bresson achieved international recognition for his coverage of Gandhi's funeral in India in 1948 and the last stage of the Chinese Civil War in 1949. He covered the last six months of the Kuomintang administration and the first six months of the Maoist People's Republic. He also photographed the last surviving Imperial eunuchs in Beijing, as the city was being liberated by the communists. In Shanghai, he often worked in the company of photojournalist Sam Tata, whom Cartier-Bresson had previously befriended in Bombay. From China, he went on to Dutch East Indies (Indonesia), where he documented the gaining of independence from the Dutch. In 1950, Cartier-Bresson had traveled to the South India. He had visited Tiruvannamalai, a town in the Indian State of Tamil Nadu and photographed the last moments of Ramana Maharishi, Sri Ramana Ashram and its surroundings. A few days later he also visited and photographed Sri Aurobindo, Mother and Sri Aurobindo Ashram, Pondicherry.
Magnum's mission was to "feel the pulse" of the times and some of its first projects were People Live Everywhere, Youth of the World, Women of the World and The Child Generation. Magnum aimed to use photography in the service of humanity, and provided arresting, widely viewed images.
The Decisive Moment
1952 US edition of Cartier-Bresson's 1952 book The Decisive Moment (Images à la sauvette).
Photograph of Alberto Giacometti by Cartier-Bresson
In 1952, Cartier-Bresson published his book Images à la sauvette, whose English-language edition was titled The Decisive Moment, although the French language title actually translates as "images on the sly" or "hastily taken images", Images à la sauvette included a portfolio of 126 of his photos from the East and the West. The book's cover was drawn by Henri Matisse. For his 4,500-word philosophical preface, Cartier-Bresson took his keynote text from the 17th century Cardinal de Retz, "Il n'y a rien dans ce monde qui n'ait un moment decisif" ("There is nothing in this world that does not have a decisive moment"). Cartier-Bresson applied this to his photographic style. He said: "Photographier: c'est dans un même instant et en une fraction de seconde reconnaître un fait et l'organisation rigoureuse de formes perçues visuellement qui expriment et signifient ce fait" ("To me, photography is the simultaneous recognition, in a fraction of a second, of the significance of an event as well as of a precise organization of forms which give that event its proper expression.").
Both titles came from Tériade, the Greek-born French publisher whom Cartier-Bresson admired. He gave the book its French title, Images à la Sauvette, loosely translated as "images on the run" or "stolen images." Dick Simon of Simon & Schuster came up with the English title The Decisive Moment. Margot Shore, Magnum's Paris bureau chief, translated Cartier-Bresson's French preface into English.
"Photography is not like painting," Cartier-Bresson told the Washington Post in 1957. "There is a creative fraction of a second when you are taking a picture. Your eye must see a composition or an expression that life itself offers you, and you must know with intuition when to click the camera. That is the moment the photographer is creative," he said. "Oop! The Moment! Once you miss it, it is gone forever."
The photo Rue Mouffetard, Paris, taken in 1954, has since become a classic example of Cartier-Bresson's ability to capture a decisive moment. He held his first exhibition in France at the Pavillon de Marsan in 1955. | Henri Cartier-Bresson is a french photographer from the early 20th century. He is known for his street photography and was most famous while he was working for the Magnum agency that he founded. He gained international recognition for his coverage of Ghandi's funeral. Later, his book called "decisive moment", captures his approach to photography: capturing the moment as it happens, in the streets. | summarization | ### Instruction: What is Henri-Cartier Bresson known for?
### Context: Magnum Photos
In early 1947, Cartier-Bresson, with Robert Capa, David Seymour, William Vandivert and George Rodger founded Magnum Photos. Capa's brainchild, Magnum was a cooperative picture agency owned by its members. The team split photo assignments among the members. Rodger, who had quit Life in London after covering World War II, would cover Africa and the Middle East. Chim, who spoke a variety of European languages, would work in Europe. Cartier-Bresson would be assigned to India and China. Vandivert, who had also left Life, would work in America, and Capa would work anywhere that had an assignment. Maria Eisner managed the Paris office and Rita Vandivert, Vandivert's wife, managed the New York office and became Magnum's first president.
Cartier-Bresson achieved international recognition for his coverage of Gandhi's funeral in India in 1948 and the last stage of the Chinese Civil War in 1949. He covered the last six months of the Kuomintang administration and the first six months of the Maoist People's Republic. He also photographed the last surviving Imperial eunuchs in Beijing, as the city was being liberated by the communists. In Shanghai, he often worked in the company of photojournalist Sam Tata, whom Cartier-Bresson had previously befriended in Bombay. From China, he went on to Dutch East Indies (Indonesia), where he documented the gaining of independence from the Dutch. In 1950, Cartier-Bresson had traveled to the South India. He had visited Tiruvannamalai, a town in the Indian State of Tamil Nadu and photographed the last moments of Ramana Maharishi, Sri Ramana Ashram and its surroundings. A few days later he also visited and photographed Sri Aurobindo, Mother and Sri Aurobindo Ashram, Pondicherry.
Magnum's mission was to "feel the pulse" of the times and some of its first projects were People Live Everywhere, Youth of the World, Women of the World and The Child Generation. Magnum aimed to use photography in the service of humanity, and provided arresting, widely viewed images.
The Decisive Moment
1952 US edition of Cartier-Bresson's 1952 book The Decisive Moment (Images à la sauvette).
Photograph of Alberto Giacometti by Cartier-Bresson
In 1952, Cartier-Bresson published his book Images à la sauvette, whose English-language edition was titled The Decisive Moment, although the French language title actually translates as "images on the sly" or "hastily taken images", Images à la sauvette included a portfolio of 126 of his photos from the East and the West. The book's cover was drawn by Henri Matisse. For his 4,500-word philosophical preface, Cartier-Bresson took his keynote text from the 17th century Cardinal de Retz, "Il n'y a rien dans ce monde qui n'ait un moment decisif" ("There is nothing in this world that does not have a decisive moment"). Cartier-Bresson applied this to his photographic style. He said: "Photographier: c'est dans un même instant et en une fraction de seconde reconnaître un fait et l'organisation rigoureuse de formes perçues visuellement qui expriment et signifient ce fait" ("To me, photography is the simultaneous recognition, in a fraction of a second, of the significance of an event as well as of a precise organization of forms which give that event its proper expression.").
Both titles came from Tériade, the Greek-born French publisher whom Cartier-Bresson admired. He gave the book its French title, Images à la Sauvette, loosely translated as "images on the run" or "stolen images." Dick Simon of Simon & Schuster came up with the English title The Decisive Moment. Margot Shore, Magnum's Paris bureau chief, translated Cartier-Bresson's French preface into English.
"Photography is not like painting," Cartier-Bresson told the Washington Post in 1957. "There is a creative fraction of a second when you are taking a picture. Your eye must see a composition or an expression that life itself offers you, and you must know with intuition when to click the camera. That is the moment the photographer is creative," he said. "Oop! The Moment! Once you miss it, it is gone forever."
The photo Rue Mouffetard, Paris, taken in 1954, has since become a classic example of Cartier-Bresson's ability to capture a decisive moment. He held his first exhibition in France at the Pavillon de Marsan in 1955.
### Answer: Henri Cartier-Bresson is a french photographer from the early 20th century. He is known for his street photography and was most famous while he was working for the Magnum agency that he founded. He gained international recognition for his coverage of Ghandi's funeral. Later, his book called "decisive moment", captures his approach to photography: capturing the moment as it happens, in the streets.</s> |
What is the PGA Championship? | The PGA Championship (often referred to as the US PGA Championship or USPGA outside the United States) is an annual golf tournament conducted by the Professional Golfers' Association of America. It is one of the four men's major championships in professional golf. | The PGA Championship (often referred to as the US PGA Championship or USPGA outside the United States) is an annual golf tournament conducted by the Professional Golfers' Association of America. It is one of the four men's major championships in professional golf.
It was formerly played in mid-August on the third weekend before Labor Day weekend, serving as the fourth and final men's major of the golf season. Beginning in 2019, the tournament is played in May on the weekend before Memorial Day, as the season's second major following the Masters Tournament in April. It is an official money event on the PGA Tour, European Tour, and Japan Golf Tour, with a purse of $11 million for the 100th edition in 2018.
In line with the other majors, winning the PGA gains privileges that improve career security. PGA champions are automatically invited to play in the other three majors (Masters Tournament, U.S. Open, and The Open Championship) and The Players Championship for the next five years, and are eligible for the PGA Championship for life. They receive membership on the PGA Tour for the following five seasons and on the European Tour for the following seven seasons. The PGA Championship is the only one of the four majors that is exclusively for professional players.
The PGA Championship has been held at various venues. Some of the early sites are now quite obscure, but in recent years, the event has generally been played at a small group of celebrated courses. | summarization | ### Instruction: What is the PGA Championship?
### Context: The PGA Championship (often referred to as the US PGA Championship or USPGA outside the United States) is an annual golf tournament conducted by the Professional Golfers' Association of America. It is one of the four men's major championships in professional golf.
### Answer: The PGA Championship (often referred to as the US PGA Championship or USPGA outside the United States) is an annual golf tournament conducted by the Professional Golfers' Association of America. It is one of the four men's major championships in professional golf.
It was formerly played in mid-August on the third weekend before Labor Day weekend, serving as the fourth and final men's major of the golf season. Beginning in 2019, the tournament is played in May on the weekend before Memorial Day, as the season's second major following the Masters Tournament in April. It is an official money event on the PGA Tour, European Tour, and Japan Golf Tour, with a purse of $11 million for the 100th edition in 2018.
In line with the other majors, winning the PGA gains privileges that improve career security. PGA champions are automatically invited to play in the other three majors (Masters Tournament, U.S. Open, and The Open Championship) and The Players Championship for the next five years, and are eligible for the PGA Championship for life. They receive membership on the PGA Tour for the following five seasons and on the European Tour for the following seven seasons. The PGA Championship is the only one of the four majors that is exclusively for professional players.
The PGA Championship has been held at various venues. Some of the early sites are now quite obscure, but in recent years, the event has generally been played at a small group of celebrated courses.</s> |
https://en.wikipedia.org/wiki/Narendra_Modi#Public_perception_and_image | A vegetarian and teetotaler, Modi has a frugal lifestyle and is a workaholic and introvert. A person named Badri Meena has been his cook since 2002. Modi used to maintain a close and publicised relationship with his centenarian mother, Hiraben. Modi's 31 August 2012 post on Google Hangouts made him the first Indian politician to interact with citizens on a live chat. Modi has also been called a fashion-icon for his signature crisply ironed, half-sleeved kurta, as well as for a suit with his name embroidered repeatedly in the pinstripes that he wore during a state visit by US President Barack Obama, which drew public and media attention and criticism. Modi's personality has been variously described by scholars and biographers as energetic, arrogant, and charismatic. | Among his followers, Narendra Modi is regarded as a charismatic leader with excellent communication abilities. He has, however, also come under fire for how he has handled intercommunal violence and for pushing a Hindu nationalist agenda. Modi's reputation has been strengthened by the success of his economic policies in Gujarat, and he has sought to build a solid international reputation through travel and social media. Critics and protests have been sparked by his government's execution of contentious measures including demonetization and the Citizenship Amendment Act. Despite this, Modi is still a well-liked figure in Indian politics and has been elected prime minister more than once. | summarization | ### Instruction: https://en.wikipedia.org/wiki/Narendra_Modi#Public_perception_and_image
### Context: A vegetarian and teetotaler, Modi has a frugal lifestyle and is a workaholic and introvert. A person named Badri Meena has been his cook since 2002. Modi used to maintain a close and publicised relationship with his centenarian mother, Hiraben. Modi's 31 August 2012 post on Google Hangouts made him the first Indian politician to interact with citizens on a live chat. Modi has also been called a fashion-icon for his signature crisply ironed, half-sleeved kurta, as well as for a suit with his name embroidered repeatedly in the pinstripes that he wore during a state visit by US President Barack Obama, which drew public and media attention and criticism. Modi's personality has been variously described by scholars and biographers as energetic, arrogant, and charismatic.
### Answer: Among his followers, Narendra Modi is regarded as a charismatic leader with excellent communication abilities. He has, however, also come under fire for how he has handled intercommunal violence and for pushing a Hindu nationalist agenda. Modi's reputation has been strengthened by the success of his economic policies in Gujarat, and he has sought to build a solid international reputation through travel and social media. Critics and protests have been sparked by his government's execution of contentious measures including demonetization and the Citizenship Amendment Act. Despite this, Modi is still a well-liked figure in Indian politics and has been elected prime minister more than once.</s> |
Who is Antonello Padovano | Antonello Padovano, is an Italian film director and producer. He is currently[when?] the director of Hands That Should Be Farming Productions based in England. Padovano won the 2019 Bayern 2 - Audience Prize at the Tegernsee International Mountain Film Festival for his documentary The Ascent of Everest which featured footage of Sir Edmund Hillary.
Filmography
Joe Petrosino: A Shot in the Dark (2006)
Le quattro porte del deserto (2006)
The Ascent of Everest (2019) | Antonello Padovano, is an Italian film director and producer. He has been the director of Hands That Should Be Farming Productions based in England. Padovano won the 2019 Bayern 2 - Audience Prize at the Tegernsee International Mountain Film Festival for his documentary The Ascent of Everest which featured footage of Sir Edmund Hillary. | summarization | ### Instruction: Who is Antonello Padovano
### Context: Antonello Padovano, is an Italian film director and producer. He is currently[when?] the director of Hands That Should Be Farming Productions based in England. Padovano won the 2019 Bayern 2 - Audience Prize at the Tegernsee International Mountain Film Festival for his documentary The Ascent of Everest which featured footage of Sir Edmund Hillary.
Filmography
Joe Petrosino: A Shot in the Dark (2006)
Le quattro porte del deserto (2006)
The Ascent of Everest (2019)
### Answer: Antonello Padovano, is an Italian film director and producer. He has been the director of Hands That Should Be Farming Productions based in England. Padovano won the 2019 Bayern 2 - Audience Prize at the Tegernsee International Mountain Film Festival for his documentary The Ascent of Everest which featured footage of Sir Edmund Hillary.</s> |
What is Victoria González's westling pedigree? | Victoria González (born January 12, 1991), better known as Raquel González, is an American professional wrestler. She is currently signed to WWE, where she performs on the SmackDown brand under the ring name Raquel Rodriguez. She is a former NXT Women's Champion and two-time NXT Women's Tag Team Champion and WWE Women's Tag Team Champion.
González is a second generation professional wrestler, following her father Rick González. In 2021, she and Dakota Kai won the inaugural Women's Dusty Rhodes Tag Team Classic and became the inaugural NXT Women's Tag Team Champions, while González won the NXT Women's Championship. | Victoria Gonzalez's father, Rick González, was a professional wrestler. | summarization | ### Instruction: What is Victoria González's westling pedigree?
### Context: Victoria González (born January 12, 1991), better known as Raquel González, is an American professional wrestler. She is currently signed to WWE, where she performs on the SmackDown brand under the ring name Raquel Rodriguez. She is a former NXT Women's Champion and two-time NXT Women's Tag Team Champion and WWE Women's Tag Team Champion.
González is a second generation professional wrestler, following her father Rick González. In 2021, she and Dakota Kai won the inaugural Women's Dusty Rhodes Tag Team Classic and became the inaugural NXT Women's Tag Team Champions, while González won the NXT Women's Championship.
### Answer: Victoria Gonzalez's father, Rick González, was a professional wrestler.</s> |
Given the following passage about Theodore Roosevelt, please list the main accomplishments during his presidency. | Roosevelt assumed the presidency at age 42, and remains the youngest person to become president of the United States. As a leader of the progressive movement he championed his "Square Deal" domestic policies. It called for fairness for all citizens, breaking of bad trusts, regulation of railroads, and pure food and drugs. Roosevelt prioritized conservation and established national parks, forests, and monuments to preserve the nation's natural resources. In foreign policy, he focused on Central America, where he began construction of the Panama Canal. Roosevelt expanded the Navy and sent the Great White Fleet on a world tour to project American naval power. His successful efforts to broker the end of the Russo-Japanese War won him the 1906 Nobel Peace Prize, making him the first American to ever win a Nobel Prize. Roosevelt was elected to a full term in 1904 and promoted policies more to the left, despite growing opposition from Republican leaders. During his presidency, he groomed his close ally William Howard Taft to succeed him in the 1908 presidential election. | 1) Championed the breaking of bad trusts, railroad regulation, and pure food and drugs
2) Established national parks, forests, and monuments
3) Began construction of the Panama Canal
4) Expanded the navy
5) Brokered the peace treaty of the Russo-Japanese war | summarization | ### Instruction: Given the following passage about Theodore Roosevelt, please list the main accomplishments during his presidency.
### Context: Roosevelt assumed the presidency at age 42, and remains the youngest person to become president of the United States. As a leader of the progressive movement he championed his "Square Deal" domestic policies. It called for fairness for all citizens, breaking of bad trusts, regulation of railroads, and pure food and drugs. Roosevelt prioritized conservation and established national parks, forests, and monuments to preserve the nation's natural resources. In foreign policy, he focused on Central America, where he began construction of the Panama Canal. Roosevelt expanded the Navy and sent the Great White Fleet on a world tour to project American naval power. His successful efforts to broker the end of the Russo-Japanese War won him the 1906 Nobel Peace Prize, making him the first American to ever win a Nobel Prize. Roosevelt was elected to a full term in 1904 and promoted policies more to the left, despite growing opposition from Republican leaders. During his presidency, he groomed his close ally William Howard Taft to succeed him in the 1908 presidential election.
### Answer: 1) Championed the breaking of bad trusts, railroad regulation, and pure food and drugs
2) Established national parks, forests, and monuments
3) Began construction of the Panama Canal
4) Expanded the navy
5) Brokered the peace treaty of the Russo-Japanese war</s> |
Provide a bulleted list of the territorial changes from the Treaty of Versailles | The Treaty of Versailles Territorial Changes
The treaty stripped Germany of 65,000 km2 (25,000 sq mi) of territory and 7 million people. It also required Germany to give up the gains made via the Treaty of Brest-Litovsk and grant independence to the protectorates that had been established. In Western Europe, Germany was required to recognize Belgian sovereignty over Moresnet and cede control of the Eupen-Malmedy area. Within six months of the transfer, Belgium was required to conduct a plebiscite on whether the citizens of the region wanted to remain under Belgian sovereignty or return to German control, communicate the results to the League of Nations and abide by the League's decision.[n. 8] To compensate for the destruction of French coal mines, Germany was to cede the output of the Saar coalmines to France and control of the Saar to the League of Nations for 15 years; a plebiscite would then be held to decide sovereignty.[n. 9] The treaty restored the provinces of Alsace-Lorraine to France by rescinding the treaties of Versailles and Frankfurt of 1871 as they pertained to this issue.[n. 10] France was able to make the claim that the provinces of Alsace-Lorraine were indeed part of France and not part of Germany by disclosing a letter sent from the Prussian King to the Empress Eugénie that Eugénie provided, in which William I wrote that the territories of Alsace-Lorraine were requested by Germany for the sole purpose of national defense and not to expand the German territory. The sovereignty of Schleswig-Holstein was to be resolved by a plebiscite to be held at a future time (see Schleswig Plebiscites).
In Central Europe Germany was to recognize the independence of Czechoslovakia (which had actually been controlled by Austria) and cede parts of the province of Upper Silesia.[n. 11] Germany had to recognize the independence of Poland and renounce "all rights and title over the territory". Portions of Upper Silesia were to be ceded to Poland, with the future of the rest of the province to be decided by plebiscite. The border would be fixed with regard to the vote and to the geographical and economic conditions of each locality.[n. 12] The Province of Posen (now Poznań), which had come under Polish control during the Greater Poland Uprising, was also to be ceded to Poland. Pomerelia (Eastern Pomerania), on historical and ethnic grounds, was transferred to Poland so that the new state could have access to the sea and became known as the Polish Corridor. The sovereignty of part of southern East Prussia was to be decided via plebiscite while the East Prussian Soldau area, which was astride the rail line between Warsaw and Danzig, was transferred to Poland outright without plebiscite.[n. 13] An area of 51,800 square kilometres (20,000 square miles) was granted to Poland at the expense of Germany. Memel was to be ceded to the Allied and Associated powers, for disposal according to their wishes.[n. 14] Germany was to cede the city of Danzig and its hinterland, including the delta of the Vistula River on the Baltic Sea, for the League of Nations to establish the Free City of Danzig.[n. 15] | - Western Europe: Germany ceded control of the Eupen-Malmedy area to Belgium and the provinces of Alsace-Lorrraine to France
- Central Europe: Germany recognized the independence of Czechoslovakia and Poland | summarization | ### Instruction: Provide a bulleted list of the territorial changes from the Treaty of Versailles
### Context: The Treaty of Versailles Territorial Changes
The treaty stripped Germany of 65,000 km2 (25,000 sq mi) of territory and 7 million people. It also required Germany to give up the gains made via the Treaty of Brest-Litovsk and grant independence to the protectorates that had been established. In Western Europe, Germany was required to recognize Belgian sovereignty over Moresnet and cede control of the Eupen-Malmedy area. Within six months of the transfer, Belgium was required to conduct a plebiscite on whether the citizens of the region wanted to remain under Belgian sovereignty or return to German control, communicate the results to the League of Nations and abide by the League's decision.[n. 8] To compensate for the destruction of French coal mines, Germany was to cede the output of the Saar coalmines to France and control of the Saar to the League of Nations for 15 years; a plebiscite would then be held to decide sovereignty.[n. 9] The treaty restored the provinces of Alsace-Lorraine to France by rescinding the treaties of Versailles and Frankfurt of 1871 as they pertained to this issue.[n. 10] France was able to make the claim that the provinces of Alsace-Lorraine were indeed part of France and not part of Germany by disclosing a letter sent from the Prussian King to the Empress Eugénie that Eugénie provided, in which William I wrote that the territories of Alsace-Lorraine were requested by Germany for the sole purpose of national defense and not to expand the German territory. The sovereignty of Schleswig-Holstein was to be resolved by a plebiscite to be held at a future time (see Schleswig Plebiscites).
In Central Europe Germany was to recognize the independence of Czechoslovakia (which had actually been controlled by Austria) and cede parts of the province of Upper Silesia.[n. 11] Germany had to recognize the independence of Poland and renounce "all rights and title over the territory". Portions of Upper Silesia were to be ceded to Poland, with the future of the rest of the province to be decided by plebiscite. The border would be fixed with regard to the vote and to the geographical and economic conditions of each locality.[n. 12] The Province of Posen (now Poznań), which had come under Polish control during the Greater Poland Uprising, was also to be ceded to Poland. Pomerelia (Eastern Pomerania), on historical and ethnic grounds, was transferred to Poland so that the new state could have access to the sea and became known as the Polish Corridor. The sovereignty of part of southern East Prussia was to be decided via plebiscite while the East Prussian Soldau area, which was astride the rail line between Warsaw and Danzig, was transferred to Poland outright without plebiscite.[n. 13] An area of 51,800 square kilometres (20,000 square miles) was granted to Poland at the expense of Germany. Memel was to be ceded to the Allied and Associated powers, for disposal according to their wishes.[n. 14] Germany was to cede the city of Danzig and its hinterland, including the delta of the Vistula River on the Baltic Sea, for the League of Nations to establish the Free City of Danzig.[n. 15]
### Answer: - Western Europe: Germany ceded control of the Eupen-Malmedy area to Belgium and the provinces of Alsace-Lorrraine to France
- Central Europe: Germany recognized the independence of Czechoslovakia and Poland</s> |
Where is the annual indoor rowing World Championship? | Ergometer rowing machines (colloquially ergs or ergo) simulate the rowing action and provide a means of training on land when waterborne training is restricted, and of measuring rowing fitness. Ergometers do not simulate the lateral balance challenges, the exact resistance of water, or the exact motions of true rowing including the sweep of the oar handles. For that reason ergometer scores are generally not used as the sole selection criterion for crews (colloquially "ergs don't float"), and technique training is limited to the basic body position and movements. However, this action can still allow a workout comparable to those experienced on the water. Indoor rowing has become popular as a sport in its own right with numerous indoor competitions (and the annual World Championship CRASH-B Sprints in Boston) during the winter off-season. | The indoor rowing world championship is held annually in Boston during the winter off-season. | summarization | ### Instruction: Where is the annual indoor rowing World Championship?
### Context: Ergometer rowing machines (colloquially ergs or ergo) simulate the rowing action and provide a means of training on land when waterborne training is restricted, and of measuring rowing fitness. Ergometers do not simulate the lateral balance challenges, the exact resistance of water, or the exact motions of true rowing including the sweep of the oar handles. For that reason ergometer scores are generally not used as the sole selection criterion for crews (colloquially "ergs don't float"), and technique training is limited to the basic body position and movements. However, this action can still allow a workout comparable to those experienced on the water. Indoor rowing has become popular as a sport in its own right with numerous indoor competitions (and the annual World Championship CRASH-B Sprints in Boston) during the winter off-season.
### Answer: The indoor rowing world championship is held annually in Boston during the winter off-season.</s> |
Can you provide a summary of who Harvey Marion LaFollette was? | Harvey Marion LaFollette (September 8, 1858 – September 20, 1929) was an American teacher and educator, who as a young man, served two terms as Indiana Superintendent of Public Instruction. He then moved to Tennessee, where he established the town of LaFollette. His company, LaFollette Coal, Iron, and Railway Company, eventually employed more than 1500 people and was the largest blast furnace in the Southern United States. | Harvey Marion LaFollette (September 8, 1858 – September 20, 1929) was an American teacher and educator, who as a young man, served two terms as Indiana Superintendent of Public Instruction. He then moved to Tennessee, where he established the town of LaFollette. His company, LaFollette Coal, Iron, and Railway Company, eventually employed more than 1500 people and was the largest blast furnace in the Southern United States.
Early life and education
Harvey M. LaFollette was born in Primrose, Wisconsin. His first cousin, Robert Marion La Follette Sr., was three years old at the time and living on the adjoining farm. Harvey's father (also named Harvey M. LaFollette) was a farmer and served in local government both as sheriff and commissioner. When Harvey was two years old, his family relocated to join relatives in Thorntown, Indiana. Harvey's brother, William La Follette, was born shortly after they arrived in Indiana. When he was seven years old, his father was killed in an industrial accident while working on a piece of machinery in the flour mill he owned.
Young Harvey was always an avid reader, and after studying at the nearby Friends School and a short stint at Wabash College, he left for France, the land of his Huguenot ancestors, to continue his education. He studied in Paris at several institutions focusing on languages and civil engineering. He left Paris, travelling on foot and staying with peasant families to better understand the local dialects. He took additional courses in Germany and in Italy. He returned to Indiana in 1880 as a well-educated and travelled young man. He spoke five languages fluently.
Indiana educator
He began teaching in the public schools as soon as he returned from abroad and became a school principal and a county superintendent before running for statewide office at the age of 28. He was elected to two terms as Indiana Superintendent of Public Instruction. In this job, he established a number of reforms as he standardized the textbooks and regularized the financial systems.
LaFollette, Tennessee
Along with his youngest brother, Grant LaFollette, Harvey then moved some 400 miles (640 km) to the south and purchased more than 37,000 acres (150 km2) of land in the Tennessee mountains. He established and served as president and general manager of a company that eventually employed 1,500 people and became the largest blast furnace in the Southern United States. He built a railroad that allowed his product to be shipped. The town that grew up around his business venture was named LaFollette in his honor and became the county seat of Campbell County.
Personal life
Glen Oaks
Harvey built and lived in Glen Oaks, a 27–room mansion in the center of LaFollette designed by Knoxville architect George Franklin Barber. The home on Indiana Avenue is listed in the National Register of Historic Places. As his company grew, he traveled extensively and remained close to his extended family. During the glare of the Wisconsin governor's race of 1900, his mother and older brother and sister returned to Primrose with cousin Robert and other family members to visit the old log cabin where Harvey was born and to relive memories of the pioneering days of a half century earlier. During the next decade, Harvey and his wife were often in Washington, DC, visiting family members and meeting political allies. Vice President Charles W. Fairbanks was a friend from his younger days in Indiana. His brother and cousin both moved to the nation's capitol as members of Congress, and he visited them often. Later in his life, when the mines no longer produced and his business failed, he returned to his academic roots, corresponding with Abraham Lincoln scholar Louis A. Warren, who wrote The Lincoln and LaFollette Families in Pioneer Drama, a history of the Lincoln and LaFollette families on the Kentucky frontier in the years before Jesse LaFollette and Thomas Lincoln took their families across the Ohio River to settle in Indiana Territory.
Family
He was a member of the La Follette family. William La Follette was a younger brother. Robert M. La Follette Sr. was his first cousin. William Leroy LaFollette Jr. and Chester La Follette were nephews. Suzanne La Follette was a niece. Mimi LaFollette Summerskill was a grand niece. Her son was political leader Richard L. Wright. His only child, Warner Marion LaFollette, predeceased him. Harvey was visiting his brother, William, in Colfax, Washington when he died in 1929. Both he and William and other LaFollette family members are interred in the Colfax Cemetery in Whitman County, Washington. | summarization | ### Instruction: Can you provide a summary of who Harvey Marion LaFollette was?
### Context: Harvey Marion LaFollette (September 8, 1858 – September 20, 1929) was an American teacher and educator, who as a young man, served two terms as Indiana Superintendent of Public Instruction. He then moved to Tennessee, where he established the town of LaFollette. His company, LaFollette Coal, Iron, and Railway Company, eventually employed more than 1500 people and was the largest blast furnace in the Southern United States.
### Answer: Harvey Marion LaFollette (September 8, 1858 – September 20, 1929) was an American teacher and educator, who as a young man, served two terms as Indiana Superintendent of Public Instruction. He then moved to Tennessee, where he established the town of LaFollette. His company, LaFollette Coal, Iron, and Railway Company, eventually employed more than 1500 people and was the largest blast furnace in the Southern United States.
Early life and education
Harvey M. LaFollette was born in Primrose, Wisconsin. His first cousin, Robert Marion La Follette Sr., was three years old at the time and living on the adjoining farm. Harvey's father (also named Harvey M. LaFollette) was a farmer and served in local government both as sheriff and commissioner. When Harvey was two years old, his family relocated to join relatives in Thorntown, Indiana. Harvey's brother, William La Follette, was born shortly after they arrived in Indiana. When he was seven years old, his father was killed in an industrial accident while working on a piece of machinery in the flour mill he owned.
Young Harvey was always an avid reader, and after studying at the nearby Friends School and a short stint at Wabash College, he left for France, the land of his Huguenot ancestors, to continue his education. He studied in Paris at several institutions focusing on languages and civil engineering. He left Paris, travelling on foot and staying with peasant families to better understand the local dialects. He took additional courses in Germany and in Italy. He returned to Indiana in 1880 as a well-educated and travelled young man. He spoke five languages fluently.
Indiana educator
He began teaching in the public schools as soon as he returned from abroad and became a school principal and a county superintendent before running for statewide office at the age of 28. He was elected to two terms as Indiana Superintendent of Public Instruction. In this job, he established a number of reforms as he standardized the textbooks and regularized the financial systems.
LaFollette, Tennessee
Along with his youngest brother, Grant LaFollette, Harvey then moved some 400 miles (640 km) to the south and purchased more than 37,000 acres (150 km2) of land in the Tennessee mountains. He established and served as president and general manager of a company that eventually employed 1,500 people and became the largest blast furnace in the Southern United States. He built a railroad that allowed his product to be shipped. The town that grew up around his business venture was named LaFollette in his honor and became the county seat of Campbell County.
Personal life
Glen Oaks
Harvey built and lived in Glen Oaks, a 27–room mansion in the center of LaFollette designed by Knoxville architect George Franklin Barber. The home on Indiana Avenue is listed in the National Register of Historic Places. As his company grew, he traveled extensively and remained close to his extended family. During the glare of the Wisconsin governor's race of 1900, his mother and older brother and sister returned to Primrose with cousin Robert and other family members to visit the old log cabin where Harvey was born and to relive memories of the pioneering days of a half century earlier. During the next decade, Harvey and his wife were often in Washington, DC, visiting family members and meeting political allies. Vice President Charles W. Fairbanks was a friend from his younger days in Indiana. His brother and cousin both moved to the nation's capitol as members of Congress, and he visited them often. Later in his life, when the mines no longer produced and his business failed, he returned to his academic roots, corresponding with Abraham Lincoln scholar Louis A. Warren, who wrote The Lincoln and LaFollette Families in Pioneer Drama, a history of the Lincoln and LaFollette families on the Kentucky frontier in the years before Jesse LaFollette and Thomas Lincoln took their families across the Ohio River to settle in Indiana Territory.
Family
He was a member of the La Follette family. William La Follette was a younger brother. Robert M. La Follette Sr. was his first cousin. William Leroy LaFollette Jr. and Chester La Follette were nephews. Suzanne La Follette was a niece. Mimi LaFollette Summerskill was a grand niece. Her son was political leader Richard L. Wright. His only child, Warner Marion LaFollette, predeceased him. Harvey was visiting his brother, William, in Colfax, Washington when he died in 1929. Both he and William and other LaFollette family members are interred in the Colfax Cemetery in Whitman County, Washington.</s> |
Who won the 2022 SEC softball Season? | The 2022 SEC softball season began play Thursday, February 10, and conference play began on Thursday, March 11. The 2022 Southeastern Conference softball tournament was May 10-14 at Katie Seashole Pressly Softball Stadium in Gainesville, Florida. Arkansas played Missouri in the tournament final, winning by a score of 4–0. Vanderbilt University is the only full member of the Southeastern Conference to not sponsor a softball program. | Arkansas won the SEC softball season beating Missouri by 4-0. | summarization | ### Instruction: Who won the 2022 SEC softball Season?
### Context: The 2022 SEC softball season began play Thursday, February 10, and conference play began on Thursday, March 11. The 2022 Southeastern Conference softball tournament was May 10-14 at Katie Seashole Pressly Softball Stadium in Gainesville, Florida. Arkansas played Missouri in the tournament final, winning by a score of 4–0. Vanderbilt University is the only full member of the Southeastern Conference to not sponsor a softball program.
### Answer: Arkansas won the SEC softball season beating Missouri by 4-0.</s> |
Provide a bulleted summary of the different types of taxes in the USA. | The United States of America has separate federal, state, and local governments with taxes imposed at each of these levels. Taxes are levied on income, payroll, property, sales, capital gains, dividends, imports, estates and gifts, as well as various fees. In 2020, taxes collected by federal, state, and local governments amounted to 25.5% of GDP, below the OECD average of 33.5% of GDP. The United States had the seventh-lowest tax revenue-to-GDP ratio among OECD countries in 2020, with a higher ratio than Mexico, Colombia, Chile, Ireland, Costa Rica, and Turkey.
Taxes fall much more heavily on labor income than on capital income. Divergent taxes and subsidies for different forms of income and spending can also constitute a form of indirect taxation of some activities over others. For example, individual spending on higher education can be said to be "taxed" at a high rate, compared to other forms of personal expenditure which are formally recognized as investments.
Taxes are imposed on net income of individuals and corporations by the federal, most state, and some local governments. Citizens and residents are taxed on worldwide income and allowed a credit for foreign taxes. Income subject to tax is determined under tax accounting rules, not financial accounting principles, and includes almost all income from whatever source. Most business expenses reduce taxable income, though limits apply to a few expenses. Individuals are permitted to reduce taxable income by personal allowances and certain non-business expenses, including home mortgage interest, state and local taxes, charitable contributions, and medical and certain other expenses incurred above certain percentages of income. State rules for determining taxable income often differ from federal rules. Federal marginal tax rates vary from 10% to 37% of taxable income. State and local tax rates vary widely by jurisdiction, from 0% to 13.30% of income, and many are graduated. State taxes are generally treated as a deductible expense for federal tax computation, although the 2017 tax law imposed a $10,000 limit on the state and local tax ("SALT") deduction, which raised the effective tax rate on medium and high earners in high tax states. Prior to the SALT deduction limit, the average deduction exceeded $10,000 in most of the Midwest, and exceeded $11,000 in most of the Northeastern United States, as well as California and Oregon. The states impacted the most by the limit were the tri-state area (NY, NJ, and CT) and California; the average SALT deduction in those states was greater than $17,000 in 2014.
The United States is one of two countries in the world that taxes its non-resident citizens on worldwide income, in the same manner and rates as residents; the other is Eritrea. The U.S. Supreme Court upheld the constitutionality of imposition of such a tax in the case of Cook v. Tait. Nonetheless, the foreign earned income exclusion eliminates U.S. taxes on the first $108,700 of annual foreign income earned by U.S. citizens living and working abroad.
Payroll taxes are imposed by the federal and all state governments. These include Social Security and Medicare taxes imposed on both employers and employees, at a combined rate of 15.3% (13.3% for 2011 and 2012). Social Security tax applies only to the first $132,900 of wages in 2019. There is an additional Medicare tax of 0.9% on wages above $200,000. Employers must withhold income taxes on wages. An unemployment tax and certain other levies apply to employers. Payroll taxes have dramatically increased as a share of federal revenue since the 1950s, while corporate income taxes have fallen as a share of revenue. (Corporate profits have not fallen as a share of GDP).
Property taxes are imposed by most local governments and many special purpose authorities based on the fair market value of property. School and other authorities are often separately governed, and impose separate taxes. Property tax is generally imposed only on realty, though some jurisdictions tax some forms of business property. Property tax rules and rates vary widely with annual median rates ranging from 0.2% to 1.9% of a property's value depending on the state.
Sales taxes are imposed by most states and some localities on the price at retail sale of many goods and some services. Sales tax rates vary widely among jurisdictions, from 0% to 16%, and may vary within a jurisdiction based on the particular goods or services taxed. Sales tax is collected by the seller at the time of sale, or remitted as use tax by buyers of taxable items who did not pay sales tax.
The United States imposes tariffs or customs duties on the import of many types of goods from many jurisdictions. These tariffs or duties must be paid before the goods can be legally imported. Rates of duty vary from 0% to more than 20%, based on the particular goods and country of origin.
Estate and gift taxes are imposed by the federal and some state governments on the transfer of property inheritance, by will, or by lifetime donation. Similar to federal income taxes, federal estate and gift taxes are imposed on worldwide property of citizens and residents and allow a credit for foreign taxes. | The following are the different types of taxes in the USA:
- Income Tax: Imposed on income from any source
- Payroll Tax: Social Security and Medicare taxes imposed on both employers and employees
- Property Tax: Imposed on value of property
- Sales Tax: Imposed on the price at retail sale of goods and services | summarization | ### Instruction: Provide a bulleted summary of the different types of taxes in the USA.
### Context: The United States of America has separate federal, state, and local governments with taxes imposed at each of these levels. Taxes are levied on income, payroll, property, sales, capital gains, dividends, imports, estates and gifts, as well as various fees. In 2020, taxes collected by federal, state, and local governments amounted to 25.5% of GDP, below the OECD average of 33.5% of GDP. The United States had the seventh-lowest tax revenue-to-GDP ratio among OECD countries in 2020, with a higher ratio than Mexico, Colombia, Chile, Ireland, Costa Rica, and Turkey.
Taxes fall much more heavily on labor income than on capital income. Divergent taxes and subsidies for different forms of income and spending can also constitute a form of indirect taxation of some activities over others. For example, individual spending on higher education can be said to be "taxed" at a high rate, compared to other forms of personal expenditure which are formally recognized as investments.
Taxes are imposed on net income of individuals and corporations by the federal, most state, and some local governments. Citizens and residents are taxed on worldwide income and allowed a credit for foreign taxes. Income subject to tax is determined under tax accounting rules, not financial accounting principles, and includes almost all income from whatever source. Most business expenses reduce taxable income, though limits apply to a few expenses. Individuals are permitted to reduce taxable income by personal allowances and certain non-business expenses, including home mortgage interest, state and local taxes, charitable contributions, and medical and certain other expenses incurred above certain percentages of income. State rules for determining taxable income often differ from federal rules. Federal marginal tax rates vary from 10% to 37% of taxable income. State and local tax rates vary widely by jurisdiction, from 0% to 13.30% of income, and many are graduated. State taxes are generally treated as a deductible expense for federal tax computation, although the 2017 tax law imposed a $10,000 limit on the state and local tax ("SALT") deduction, which raised the effective tax rate on medium and high earners in high tax states. Prior to the SALT deduction limit, the average deduction exceeded $10,000 in most of the Midwest, and exceeded $11,000 in most of the Northeastern United States, as well as California and Oregon. The states impacted the most by the limit were the tri-state area (NY, NJ, and CT) and California; the average SALT deduction in those states was greater than $17,000 in 2014.
The United States is one of two countries in the world that taxes its non-resident citizens on worldwide income, in the same manner and rates as residents; the other is Eritrea. The U.S. Supreme Court upheld the constitutionality of imposition of such a tax in the case of Cook v. Tait. Nonetheless, the foreign earned income exclusion eliminates U.S. taxes on the first $108,700 of annual foreign income earned by U.S. citizens living and working abroad.
Payroll taxes are imposed by the federal and all state governments. These include Social Security and Medicare taxes imposed on both employers and employees, at a combined rate of 15.3% (13.3% for 2011 and 2012). Social Security tax applies only to the first $132,900 of wages in 2019. There is an additional Medicare tax of 0.9% on wages above $200,000. Employers must withhold income taxes on wages. An unemployment tax and certain other levies apply to employers. Payroll taxes have dramatically increased as a share of federal revenue since the 1950s, while corporate income taxes have fallen as a share of revenue. (Corporate profits have not fallen as a share of GDP).
Property taxes are imposed by most local governments and many special purpose authorities based on the fair market value of property. School and other authorities are often separately governed, and impose separate taxes. Property tax is generally imposed only on realty, though some jurisdictions tax some forms of business property. Property tax rules and rates vary widely with annual median rates ranging from 0.2% to 1.9% of a property's value depending on the state.
Sales taxes are imposed by most states and some localities on the price at retail sale of many goods and some services. Sales tax rates vary widely among jurisdictions, from 0% to 16%, and may vary within a jurisdiction based on the particular goods or services taxed. Sales tax is collected by the seller at the time of sale, or remitted as use tax by buyers of taxable items who did not pay sales tax.
The United States imposes tariffs or customs duties on the import of many types of goods from many jurisdictions. These tariffs or duties must be paid before the goods can be legally imported. Rates of duty vary from 0% to more than 20%, based on the particular goods and country of origin.
Estate and gift taxes are imposed by the federal and some state governments on the transfer of property inheritance, by will, or by lifetime donation. Similar to federal income taxes, federal estate and gift taxes are imposed on worldwide property of citizens and residents and allow a credit for foreign taxes.
### Answer: The following are the different types of taxes in the USA:
- Income Tax: Imposed on income from any source
- Payroll Tax: Social Security and Medicare taxes imposed on both employers and employees
- Property Tax: Imposed on value of property
- Sales Tax: Imposed on the price at retail sale of goods and services</s> |
Who won the 1986 Major League Baseball World Series and in how many games? | The 1986 World Series was the championship series of Major League Baseball's (MLB) 1986 season. The 83rd edition of the World Series, it was a best-of-seven playoff played between the National League (NL) champion New York Mets and the American League (AL) champion Boston Red Sox. The Mets won the series four games to three to claim their second World Series title and first since 1969. The series is best remembered for its Game 6, which saw the Mets rally from a two run-deficit in the bottom of the 10th inning, despite having two outs and no one on base. The Red Sox, who held a 3–2 series lead, were twice one strike away from securing the championship, but failed to close out the inning as the Mets won off an error by Boston first baseman Bill Buckner. Due to the Mets claiming the series in Game 7, the Game 6 collapse entered baseball lore as part of the Curse of the Bambino superstition used to explain the Red Sox's championship drought after the 1918 World Series. | The New York Mets beat the Boston Red Sox, 4 games to 3, to win the World Series. The Red Sox were a strike away from winning the series in Game 6 but the Mets won the game due to an error from first baseman Bill Buckner. The Mets went on to easily win Game 7. This was used as another data point in the "Curse of the Bambino" superstition that started in 1918 when the Red Sox traded Babe Ruth to the New York Yankees and hadn't won a World Series since (up til that point in time). | summarization | ### Instruction: Who won the 1986 Major League Baseball World Series and in how many games?
### Context: The 1986 World Series was the championship series of Major League Baseball's (MLB) 1986 season. The 83rd edition of the World Series, it was a best-of-seven playoff played between the National League (NL) champion New York Mets and the American League (AL) champion Boston Red Sox. The Mets won the series four games to three to claim their second World Series title and first since 1969. The series is best remembered for its Game 6, which saw the Mets rally from a two run-deficit in the bottom of the 10th inning, despite having two outs and no one on base. The Red Sox, who held a 3–2 series lead, were twice one strike away from securing the championship, but failed to close out the inning as the Mets won off an error by Boston first baseman Bill Buckner. Due to the Mets claiming the series in Game 7, the Game 6 collapse entered baseball lore as part of the Curse of the Bambino superstition used to explain the Red Sox's championship drought after the 1918 World Series.
### Answer: The New York Mets beat the Boston Red Sox, 4 games to 3, to win the World Series. The Red Sox were a strike away from winning the series in Game 6 but the Mets won the game due to an error from first baseman Bill Buckner. The Mets went on to easily win Game 7. This was used as another data point in the "Curse of the Bambino" superstition that started in 1918 when the Red Sox traded Babe Ruth to the New York Yankees and hadn't won a World Series since (up til that point in time).</s> |
What is the most powerful Porsche flat six engine? | The Porsche flat-six engine series is a line of mechanically similar, naturally aspirated and turbocharged, flat-six boxer engines, produced by Porsche for almost 60 consecutive years, since 1963. The engine is an evolution of the flat-four boxer used in the original Volkswagen Beetle.
1967 Porsche 911R
0:22
2006 Porsche Cayman S
0:34
Problems playing these files? See media help.
The flat-six engine is most often associated with their 911 model, Porsche's flagship rear-engined sports car which has used flat-six engines exclusively since 1963. The engines were air-cooled until 1999, when Porsche started using water-cooled engines.
In April 2011, Porsche announced the third generation of the 997 GT3 RS with an enlarged 4.0-litre engine having a power output of 500 PS (368 kW; 493 hp). The naturally-aspirated 4.0-litre flat-six engine (the largest engine offered in a street-legal 911) was introduced with their 911 (997) GT3 RS 4.0, in 2011. The engine itself uses the crankshaft from the RSR with increased stroke dimensions (from 76.4 mm to 80.4 mm). This change increased the power output to 500 PS (368 kW; 493 hp) at 8,250 rpm and 460 N⋅m (339 lbf⋅ft) of torque at 5,750 rpm. giving it a power-to-weight ratio of 365 hp per ton. Only 600 cars were built. At 493 hp (368 kW), the engine is one of the most powerful six-cylinder naturally aspirated engines in any production car with a 123.25 hp (92 kW) per litre output.
Other Porsche models that use flat-six engines are the 1970–1972 Porsche 914/6 (mid-engine), the 1986–1993 Porsche 959 (rear-engine), and the 1996–2021 Porsche Boxster/Cayman (mid-engine).
The Porsche 962 sports prototype also used a twin-turbocharged flat-six engine.
These engines have also been used by German tuning company RUF in various replica Porsche sports cars. | The most powerful flat six engine made by Porsche is the 997 GT3 RS 4.0. It had nearly 493hp on just 4.0L of displacement. This is a very rare car that hardly ever come up for sale. It is one of the most powerful six-cylinder naturally aspirated engines ever made. | summarization | ### Instruction: What is the most powerful Porsche flat six engine?
### Context: The Porsche flat-six engine series is a line of mechanically similar, naturally aspirated and turbocharged, flat-six boxer engines, produced by Porsche for almost 60 consecutive years, since 1963. The engine is an evolution of the flat-four boxer used in the original Volkswagen Beetle.
1967 Porsche 911R
0:22
2006 Porsche Cayman S
0:34
Problems playing these files? See media help.
The flat-six engine is most often associated with their 911 model, Porsche's flagship rear-engined sports car which has used flat-six engines exclusively since 1963. The engines were air-cooled until 1999, when Porsche started using water-cooled engines.
In April 2011, Porsche announced the third generation of the 997 GT3 RS with an enlarged 4.0-litre engine having a power output of 500 PS (368 kW; 493 hp). The naturally-aspirated 4.0-litre flat-six engine (the largest engine offered in a street-legal 911) was introduced with their 911 (997) GT3 RS 4.0, in 2011. The engine itself uses the crankshaft from the RSR with increased stroke dimensions (from 76.4 mm to 80.4 mm). This change increased the power output to 500 PS (368 kW; 493 hp) at 8,250 rpm and 460 N⋅m (339 lbf⋅ft) of torque at 5,750 rpm. giving it a power-to-weight ratio of 365 hp per ton. Only 600 cars were built. At 493 hp (368 kW), the engine is one of the most powerful six-cylinder naturally aspirated engines in any production car with a 123.25 hp (92 kW) per litre output.
Other Porsche models that use flat-six engines are the 1970–1972 Porsche 914/6 (mid-engine), the 1986–1993 Porsche 959 (rear-engine), and the 1996–2021 Porsche Boxster/Cayman (mid-engine).
The Porsche 962 sports prototype also used a twin-turbocharged flat-six engine.
These engines have also been used by German tuning company RUF in various replica Porsche sports cars.
### Answer: The most powerful flat six engine made by Porsche is the 997 GT3 RS 4.0. It had nearly 493hp on just 4.0L of displacement. This is a very rare car that hardly ever come up for sale. It is one of the most powerful six-cylinder naturally aspirated engines ever made.</s> |
List me some details regarding carreer of lawyer Harry L. Shorstein | Harry L. Shorstein (born August 3, 1940) is an American lawyer who served as State Attorney for Florida's Fourth Judicial Circuit Court, covering Duval, Clay and Nassau counties, from 1991–2008. A member of the Democratic Party, he was appointed to the post in 1991 by Governor Lawton Chiles to fill the remaining term of Ed Austin, who resigned to successfully run for mayor of Jacksonville. He was elected to a full term in 1992, re-elected in 1996, and ran unopposed in 2000 and 2004. At a February 6, 2007 news conference, the 66-year-old lawyer announced that he would not run for re-election in 2008. He subsequently returned to private practice, and was succeeded as State Attorney by Angela Corey. | 1. From 1991 to 2008, Harry L. Shorstein, an American attorney who was born on August 3, 1940, served as State Attorney for Florida's Fourth Judicial Circuit Court, which includes Duval, Clay, and Nassau counties.
2. A Democrat, he was chosen by Governor Lawton Chiles to serve Ed Austin's unexpired term after the latter resigned to run successfully for mayor of Jacksonville.
3. He won re-election to a full term in 1992, was unchallenged in 2000 and 2004 and was re-elected in 1996.
4. The 66-year-old attorney declared he would not seek re-election in 2008 at a news conference on February 6, 2007.
5. He later went back to private practice, and Angela Corey took over as state attorney. | summarization | ### Instruction: List me some details regarding carreer of lawyer Harry L. Shorstein
### Context: Harry L. Shorstein (born August 3, 1940) is an American lawyer who served as State Attorney for Florida's Fourth Judicial Circuit Court, covering Duval, Clay and Nassau counties, from 1991–2008. A member of the Democratic Party, he was appointed to the post in 1991 by Governor Lawton Chiles to fill the remaining term of Ed Austin, who resigned to successfully run for mayor of Jacksonville. He was elected to a full term in 1992, re-elected in 1996, and ran unopposed in 2000 and 2004. At a February 6, 2007 news conference, the 66-year-old lawyer announced that he would not run for re-election in 2008. He subsequently returned to private practice, and was succeeded as State Attorney by Angela Corey.
### Answer: 1. From 1991 to 2008, Harry L. Shorstein, an American attorney who was born on August 3, 1940, served as State Attorney for Florida's Fourth Judicial Circuit Court, which includes Duval, Clay, and Nassau counties.
2. A Democrat, he was chosen by Governor Lawton Chiles to serve Ed Austin's unexpired term after the latter resigned to run successfully for mayor of Jacksonville.
3. He won re-election to a full term in 1992, was unchallenged in 2000 and 2004 and was re-elected in 1996.
4. The 66-year-old attorney declared he would not seek re-election in 2008 at a news conference on February 6, 2007.
5. He later went back to private practice, and Angela Corey took over as state attorney.</s> |
What is rheological weldability? | Rheological weldability (RW) of thermoplastics considers the materials flow characteristics in determining the weldability of the given material. The process of welding thermal plastics requires three general steps, first is surface preparation. The second step is the application of heat and pressure to create intimate contact between the components being joined and initiate inter-molecular diffusion across the joint and the third step is cooling. RW can be used to determine the effectiveness of the second step of the process for given materials. | Rheological weldability describes the effectiveness of applying heat and pressure to join two materials. | summarization | ### Instruction: What is rheological weldability?
### Context: Rheological weldability (RW) of thermoplastics considers the materials flow characteristics in determining the weldability of the given material. The process of welding thermal plastics requires three general steps, first is surface preparation. The second step is the application of heat and pressure to create intimate contact between the components being joined and initiate inter-molecular diffusion across the joint and the third step is cooling. RW can be used to determine the effectiveness of the second step of the process for given materials.
### Answer: Rheological weldability describes the effectiveness of applying heat and pressure to join two materials.</s> |
Please summarize President Joe Biden's statement below. | I’ve directed my team to bring every element of the federal government together to help with immediate needs and long-term rebuilding. Early this morning, I approved an expedited major disaster declaration to quickly provide Federal assistance to the people of Arkansas. This weekend, I reached out to Governor J.B. Pritzker of Illinois and spoke with Governor Sarah Huckabee Sanders, Little Rock Mayor Frank Scott Jr., and Wynne Mayor Jennifer Hobbs of Arkansas as well as Governor John Carney of Delaware to let them know that my administration will do everything we can to help, as long as it takes. I also spoke with my FEMA Administrator, who already has teams on the ground and is in Arkansas today to coordinate Federal response and recovery efforts. We are working closely with the state of Indiana and other impacted states as they assess damages, and stand ready to respond to any additional requests for Federal assistance. | I approved disaster assistance for Arkansas. I told Arkansas leaders that the federal government will help. I spoke with the FEMA Administrator, who is coordinating efforts. We will work with other states that need assistance. | summarization | ### Instruction: Please summarize President Joe Biden's statement below.
### Context: I’ve directed my team to bring every element of the federal government together to help with immediate needs and long-term rebuilding. Early this morning, I approved an expedited major disaster declaration to quickly provide Federal assistance to the people of Arkansas. This weekend, I reached out to Governor J.B. Pritzker of Illinois and spoke with Governor Sarah Huckabee Sanders, Little Rock Mayor Frank Scott Jr., and Wynne Mayor Jennifer Hobbs of Arkansas as well as Governor John Carney of Delaware to let them know that my administration will do everything we can to help, as long as it takes. I also spoke with my FEMA Administrator, who already has teams on the ground and is in Arkansas today to coordinate Federal response and recovery efforts. We are working closely with the state of Indiana and other impacted states as they assess damages, and stand ready to respond to any additional requests for Federal assistance.
### Answer: I approved disaster assistance for Arkansas. I told Arkansas leaders that the federal government will help. I spoke with the FEMA Administrator, who is coordinating efforts. We will work with other states that need assistance.</s> |