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  • About
  • The Global ETD Search service is a free service for researchers to find electronic theses and dissertations. This service is provided by the Networked Digital Library of Theses and Dissertations.
    Our metadata is collected from universities around the world. If you manage a university/consortium/country archive and want to be added, details can be found on the NDLTD website.
31

Handmade burnished ware in Late Bronze Age Greece and its makers

Romanos, Chloe Lea January 2011 (has links)
This study focuses on the idiosyncratic type of pottery called Handmade Burnished Ware (HBW) which appears in the Eastern Mediterranean and more particularly in the Mycenaean area during the 13th-12th centuries BC. It includes my own in corpore study of published and unpublished material from various sites in the Aegean region, as well as previously unstudied material from Mycenae itself. A major part of the study is devoted to a detailed definition of the chronological, geographical and depositional contexts of HBW, of its shapes and its varieties, in terms both of fabric and manufacture. This analysis was a necessary prerequisite to my goals of understanding the origin(s) and distribution of this pottery, of determining whether it is one ware or several similar ones and of understanding its role and significance in the social, economic and historical contexts in which it appeared. I conclude that this group of pottery is a cultural marker for the presence of a small foreign population who produced these vessels and were living amongst the local population already during the Mycenaean Palatial (LH IIIB) period but also in the following phase (LH IIIC), after the major destructions. The close relationship of this cultural marker, whether contextual, technological or in terms of origin, with several different types of artefacts linked to craft activities such as textile production or bronze-smithing, seems to point toward the interpretation of the occupation of the HBW makers as possible travelling artisans.
32

The development of early imperial dress from the Tetrarchs to the Herakleian dynasty

Shaw, Carol January 2016 (has links)
My thesis traces developments in the early imperial dress of the emperors and empresses as depicted in art from Diocletian’s reign to Justinian II’s; my analysis includes examples ranging in size from large monuments to small coins. Two theses have been written on the later period but none on the earlier one when the most change occurred. I demonstrate that the emperor’s dress differed from other forms of elite male dress because several symbols of rule, such as the purple cloak and sceptre were associated with it. During this time period, the emperor wore three types of dress: military costume consisting of a cuirass and cloak; civic dress consisting of such garments as a purple cloak called a chlamys, a tunic and jewelled slippers; and ceremonial dress consisting of several types of togas and an under-tunic. The empress' dress consisted of several forms of Roman dress, the chlamys and tunic, and finally bridal dress. In my analyses, I first place the items in their historical context, describe the dress portrayed, and finally analyse how they are used in each work of art. I also provide information on such subjects as the history of imperial purple and the types of crowns.
33

The Neolithic of the Peak District : a Lefebvrian social geography approach to spatial analysis

Weaver, Robin Bryn January 2013 (has links)
In this thesis I construct, implement and evaluate a Lefebvrian model of space and society suitable for archaeology, using the Neolithic Peak District as my case study. Archaeologists have largely overlooked the work of French Marxist philosopher and social theorist Henri Lefebvre or come to it second-hand, meaning that his dialectical model of the production of space has never been used to understand prehistoric society. My thesis demonstrates the value to archaeology of such an approach by applying Lefebvre’s three-part dialectical model of the production of space to the monuments and landscape of the Neolithic Peak. In doing so, it challenges simplistic binary readings of social space, replacing them with a Lefebvrian social geography approach to space. Not only does this reveal previously hidden facets of Neolithic society and architecture in the Peak, but my research also provides the first detailed study of this subject in some years. It highlights inter-regional connections between the Peak and other parts of the UK, and illustrates the sheer wealth and diversity of Neolithic monuments in the region, which until now have been sorely neglected. One of its central achievements is to introduce the ‘cross-fertilisation’ monument as a novel class of structure.
34

Lithic technology and social agency in late Neolithic northern Italy : knapping flint at Rocca di Rivoli (Verona, Italy)

Dalla Riva, Martina January 2017 (has links)
The thesis explores the relationship between late Neolithic knappers and flint resources at the settlement of Rocca di Rivoli (Verona, Italy), a key site for the understanding of the late Neolithic in northern Italy. Approximately 8000 flint artefacts were recorded by means of an attribute-based relational database and subsequently analysed. The use of the \(chaîne\) \(opératoire\) method, combined with a social agency approach, provided a useful framework within which to discuss topics such as tradition, style and specialization in the context of the late Neolithic of northern Italy. The intrinsic nature of the site, characterized by secondary deposition in pits, challenged the potential retrieval of data and subsequent interpretation and resulted in the identification of fragmented \(chaînes\) \(opératoires\). In addition, the poor conservation of the finds and bias in accessibility procedures to the collection limited the choice of analytical methods available. Nonetheless, significant results were obtained. At Rocca di Rivoli there were clear preferences in terms of raw material: flint coming from the Maiolica outcrops was by far the preferred variety to be working with. It is suggested that raw material procurement possibly took place in different ways, but that a more precise identification in terms of its organization is not possible at this stage. The 16 \(chaînes\) \(opératoires\) identified at Rocca di Rivoli represent basic frameworks allowing for endless variations and additions taking place during the unfolding of flint knapping activity. It is argued throughout the present work that knapping was undertaken by both expert and non-expert knappers, including apprentices. Some aspects characterising the practice of flint knapping changed throughout occupation of the sire, possibly pointing at changes in social dynamics affecting the community of Rocca di Rivoli.
35

The foreign policy of Macedon c.513 to 346 BC

Giuliodori, Holly Francesca January 2004 (has links)
This thesis is made up of nine chapters. The introduction offers some preliminary discussion of the subject of the period as a whole, and some consideration of existing modern sources upon it. Our modern concept of the ancient world is necessarily constructed from materials derived from reports, and from the various other sources which have survived to use. The purpose of Chapter 1 is to establish how the reports and sources which pertain to the fifth century BC will be evaluated and used in the following thesis. To this end, the work of the three main contemporary historians for fifth century Greece are examined and some concluding comments regarding our use of them for the study of fifth century Macedon are made. Alexander I of Macedon faced circumstances which were almost completely incomparable to those faced by any other king during the period covered by this thesis. The fact that he not only preserved the integrity of his kingdom during the titanic Persian Wars but went on to gain territory, increase trade and improve the Macedonian army to an extent that it could conquer and maintain a vast tract of land, displays a commitment to the wellbeing of his country and a level of patriotism which Chapter 2, alone amongst modern studies, identifies and explores. In his commentary on Thucydides, A. W. Gomme has this to say about Perdiccas’ frequent changes of allegiance: “he chopped and changed all his life, as far as we can see to no very good purpose, except that he kept his kingdom intact and his own throne.” (p201) From Perdiccas’ point of view, and in the context of the Peloponnesian war, during which Macedon itself became, at times, a military objective, keeping his throne and kingdom intact was, in fact, a “very good purpose,” and indeed no small achievement. Chapter 3 explores the dramatic fluctuations in Perdiccas’ foreign policy which allowed him to do this, and considers modern viewpoints upon it.
36

Rome and the Sasanian Empire in the fifth century A.D. : a necessary peace

Morley, Craig January 2015 (has links)
Since Ardashir’s victory over the Parthians in A.D 224 to his successors’ eventual defeat at the hands of the Arabs in 651 the Roman and Sasanian Empires had been bitter and deadly rivals. Throughout Late Antiquity the Roman-Sasanian relationship was dominated by competition; a constant battle for imperial prestige, military supremacy, cultural influence and economic advantage. In the course of their relationship Ctesiphon, the Sasanian capital, was sacked by Roman forces, the Roman emperor Valerian was captured and taken prisoner, Julian the Apostate was killed by Sassanian forces in his infamous campaign of 363, and the great Roman city of Antioch had been captured and razed. Yet in this seemingly never-ending imperial struggle the fifth century stands out as a period of unprecedented peace between the imperial rivals. It is the aim of this thesis to analyse what made the fifth century a unique period of peace. This thesis seeks to expand on current scholarship on the fifth-century Roman-Sasanian relationship, which has focused on the investigation of specific and individual events, by taking a more holistic approach. In this regard, all aspects of the relationship, military conflicts, frontier zones, barbarian threats, religious issues, economic considerations and the development of diplomatic contacts, will be analysed in order to identify what pushed the two empires towards a peace and, more importantly, how this peace was maintained in the face of old hostilities and traditional antagonism. Viewing the Roman-Sasanian relationship as merely one part of the wider late antique world, not as something unique and separate, will also be a key component of this investigation. Central to the aim and approach of this thesis is the use of political realism, a theory for understanding international relations, to reveal the motivations and pressures that both empires faced in this period that pushed them towards peace. In this regard, it will be argued that the Roman and Sasanian overriding desire and goal of ensuring their own safety and security in an anarchic world in the face of the new and dangerous threats posed by the ascendant Huns, Hephthalites and Vandals was the underlying motivation behind the fifth-century peace. It was the threat posed by these groups that forced a shift in Roman-Sasanian relations towards the accommodation that both needed to survive the turbulent fifth century. As such, it was these new threats that stimulated the development of imperial diplomacy in the fifth century that allowed the two empires to mediate their traditional casus belli and maintain peace throughout this period. This diplomatic development allowed them to reach new and innovative diplomatic solutions to their problems in the frontier zones of Arabia and Armenia.
37

Genetic and biochemical analysis of materials from a medieval population from Ynys Mon North Wales

Matchett, Ashley A. January 2011 (has links)
The archaeological excavation of the early medieval site at Towyn-Y-Capel on the island of Anglesey (Ynys Môn) in North Wales, UK, provided the opportunity to study a large population (122 skeletons) at a site that was in use over a period of up to 550 years (650 -1200 AD). Samples of skeletal materials for this study were taken directly from the site itself .The osteological condition of skeletal material was variable across the site. In general, the upper burials in particular were in the poorest condition, and were mainly fragmented and dispersed due to the ongoing site erosion and diagenetic processes. Conversely, lower “cist” burials were in far better condition. The assessment of skeletal sample condition was used to select materials chosen for genetic analysis, and 44% (54) of the skeletal population were selected for analysis of appropriate samples of tooth and bone. The gross morphology of samples was assessed and 87% of bones and teeth were considered to be in good or fair condition, according to the gross preservation index (GPI) used, while only 2% of bones and no teeth were considered to be in excellent condition. In addition to GPI, a novel technique called Qualitative Light Fluoresence (QLF), based on autofluoresence, was used to ascertain the surface condition of the teeth. Compared to the fluorescence of modern enamel, there was a net loss of 21.8% fluorescence, although the degree of fluorescence from one sample to another varied (with a standard deviation from the mean of 24.973). Histological sections taken from non-human bone finds from the site generally varied less than that indicated by the gross morphology, showing good to excellent histological preservation. Further to gross and histological morphology, ten skeletal samples were selected for detailed investigations, and were analysed for amino acid racemisation and amino acid composition. All samples tested had D/L enatomer Aspartic acid ratio less than 0.1, although 50% of the samples had D/L enatiomer Aspartic acid ratio over 0.08, which indicated that the recovery of aDNA from these skeletal samples was feasible, although the biological condition of the teeth was fairly degraded. The inorganic element profile of the same ten samples showed no discernable anomalies, either due to diet or diagenesis. To consolidate genographic research, strontium isotope analysis was performed and, from the small population subset, three anomalous ratios were found. Two of these were high (Skeletons 33 and 60), indicating that these individuals had spent their childhoods in areas with high strontium ratios, representative of precambrian rock types, possibly older than those of the Holyhead Rock group, such as in Northern Scotland or Norway. The skeletal samples yielding the lowest strontium ratio (Skeleton 52) are of compelling interest, since the ratio is indicative of upbringing in only one place in the North Atlantic, namely Iceland. In this study, DNA recovery was performed on teeth and bones from the site, after extensive decalcification of samples, and also extraction and optimisation trials. Amplification of DNA extracted from teeth samples was generally more successful than for bone samples. A random amplification based polymorphic (RAPD) DNA technique was utilised to “fingerprint” human and animal samples with limited success. Contamination and template variation are likely causes for the lack of success. Amplification using several primers specific for human HV1 & 2 mtDNA targets was also met with limited success. The results show that 14.8% of the skeletal teeth samples were amplified, and these were not commonly reproducible. DNA spiking trials demonstrated that some of the samples were affected by inhibition. Independent confirmation of 9 of 10 successful samples was attained by sequencing, and although sequences were highly degraded, an attempt was made at determining the haplogroups from the sequenced HV1 haplotypes based on likelihood. Generally, the site showed a high predominance of Haplotype K (5) followed by H (2) and U (2) haplogroup profiles.
38

"Few know an earl in fishing clothes" : fish middens and the economy of the Viking Age and Late Norse earldoms of Orkney and Caithness, Northern Scotland

Barrett, James Harold January 1995 (has links)
This thesis studies the origin and role of wealth in the Viking Age (late 8th to 11th century) and Late Norse (11th to 15th century) earldoms of Orkney and Caithness, northern Scotland. It has four aims. Firstly, it attempts to elucidate the key sources of wealth in the earldoms and, more specifically, the possible economic role of fish trade. Secondly, it investigates how control of these sources of wealth may have been distributed within Viking Age and Late Norse society. Thirdly, it attempts to isolate chronological trends in the utilisation of different sources of wealth and the social relations surrounding them. Finally, it was hypothesised that a consideration of these issues might illuminate the character and causes of the transition of Orkney, Caithness and Shetland from a semi-independent and non-Christian Viking Age polity to a periphery of medieval Christian Europe. Part 1 is a geographical and protohistorical survey of Viking Age and Late Norse Orkney, Caithness and Shetland. It discusses available evidence and establishes the considerable wealth of the earldoms. Part 2 investigates the possible sources of this wealth. It concludes by highlighting circumstantial evidence for an export trade in cured fish. Zooarchaeological and archaeobotanical data receive particular attention. New methodological tools for interpreting the weight of zooarchaeological assemblages are also discussed. In Part 3, the possibility that medieval fish middens (at sites such as Robert's Haven, Caithness) represent waste from the production of cured fish for export is considered in detail.
39

The Roman elite and the power of the past : continuity and change in Ostrogothic Italy

McOmish, David Malcolm January 2011 (has links)
This thesis examines the changes forced upon the Roman elite in the evolving political climate of Ostrogothic Italy. It examines what mechanisms the Roman elite employed to renegotiate their position of influence within the state. The relationship the elite had with the past provides evidence for wider changes in society. I assert that, using the language and landscape of the past, the elite formed discourses which responded to, and which attempted to facilitate a realignment in, a changing environment. The education system still provided the Roman elite with a mechanism through which they could define themselves and prepare for what they considered to be the important aspects of the world outside the classroom. Religious discussions and debate in the post-imperial Italy of Late Antiquity were increasingly directed toward attempts to reunite the fractured Roman Empire through a unified empire of Orthodox faith. Having such a close relationship with the Roman Empire and its political and philosophical culture, education and religion are particularly suitable fields to reflect the changes to the political map of the Roman Empire. Focusing on the elite’s relationship with education and religion, this thesis will uncover examples of continuity and change which are implied by the construction of, and interaction with, discourses designed to facilitate the elite’s renegotiation strategies. Reconstructing the education of prominent members of the elite from their writings provides the evidence for such discourses. The emphasis on this part of the thesis is on discovering how the discourses circulating in relation to education responded to the political and philosophical problems through the language of the past and what these responses tell us about changes in the present. The religious discussion focuses on the attempts of the opinion formers in Italy to create and direct narratives designed to establish the superiority of one religious world-view over another. An examination of the language of tradition in the construction of these narratives provides evidence for the potency of the past in the decision-making process and ideology- forming strategies of the Roman elite. It also provides evidence for the changes in society to which the strategies were responding. A final-chapter case study provides an opportunity to see evidence of the effectiveness of these discourse-forming strategies. In this chapter we see a contemporary historical source interacting with those narratives and discourses we witnessed the elite employing in the education and religion chapters. It also provides an opportunity to see how the past is used to justify the actions of the Roman elite in Ostrogothic Italy to a post-Gothic audience (as the work was composed in the immediate aftermath of the fall of Ostrogothic Italy). This final consideration provides an instructive contrast which brings into sharp focus the extent and nature of continuity and change brought about by the Ostrogothic state.
40

The numismatic iconography of the period of iconomachy (610-867)

Vrij, Maria Chantal January 2018 (has links)
This thesis considers the use of numismatic imagery in the Byzantine Empire during the period 610-867, with its main focus centred in the period 685-842. Though charting the iconographic trends and changes on the coinage of the period and the possible reasons behind them is the principal raison d’être of the thesis, it also tackles methodological issues such as the use and abuse of dies studies and ways of determining who decided what images appeared on coins. The main body of the text is arranged chronologically with the methodological issues appearing throughout. Exceptions to this format are the first chapter, which considers the economic context of coin circulation in the period and the gold purity of the coins of the period, and the third chapter, which considers the production at the mint of Cherson, which produced anonymous coins not identifiable by date, but still part of the context. Finally, the thesis contains two appendices, the first paper appendix presents a catalogue of the coins held at the Barber Institute of Fine Arts for the period 685-842, and the second CD-ROM appendix presents the data from the All That Glitters ... project, testing the purity of Byzantine gold coins with x-ray fluorescence.

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