This thesis investigates the daily life of an early medieval community in Central Italy by focusing on the skeletal collection (n = 66) from the ancient site of Satricum dating between the 9th and...Show moreThis thesis investigates the daily life of an early medieval community in Central Italy by focusing on the skeletal collection (n = 66) from the ancient site of Satricum dating between the 9th and 11th century AD, to advance our understanding of this everchanging period. The research employs the study of paleopathology, with a focus on osteoarthritis (OA), osteochondritis dissecans (OD), and periosteal new bone growth (PNB). The skeletal analyses revealed a high prevalence of joint degeneration, particularly in the spine, hip, shoulder, and elbow, while also PNB was recorded in relatively high numbers. The findings suggest that Satricum was a small, self-reliant community engaged in agricultural practices with ongoing physiological stressors. However, the presence of OA might have been influenced by both activity and genetic predisposition due to the long duration of the community settling in Satricum. The study also explored the impact of sex and age. The osteological assessment indicated a potential surplus of males, aligning with demographic patterns of early medieval times, while the identified females showed no distinctive activity markers, prompting further investigation into the "missing women" concept of the Middle Ages. The presence of only five subadults also raised questions about community beliefs, suggesting a potential societal distinction for individuals under the age of seven since no social separation was recognized between the adults and juveniles over that age. Furthermore, the funerary practices exhibited potential indicators of a Christian belief system, such as burial orientation and the absence of grave goods. The reuse of a Roman villa with a possible apsis also hinted at the presence of an ecclesial building. Comparisons with other Central Italian sites of the same period (Albano, Santa Severa, and Colonna) highlighted pathological and demographic commonalities. Therefore, in the broader context, this research contributes to existing knowledge by confirming scholar’s theories about life in rural medieval Central Italy. Finally, this study emphasizes the significance of investigating previously unstudied skeletal collections because these findings not only deepen our understanding of Satricum but also provide a foundation for future research, encouraging diverse approaches to further unravel the complexities of this ancient community.Show less
Since the formation of the contemporary Northern-Spanish autonomic community of Cantabria in 1981 the Iron Age has become increasingly important for its regional identity, symbolically embedded in,...Show moreSince the formation of the contemporary Northern-Spanish autonomic community of Cantabria in 1981 the Iron Age has become increasingly important for its regional identity, symbolically embedded in, for example, its name and flag. Although this in itself can be viewed as problematic, it also fuelled more archaeological investigations into Iron Age Cantabria. These investigations have mainly been focused on Iron Age hillforts of which currently approximately fourty-three (43) can be found throughout the autonomic community. The relatively late development of this field of study is one of the reasons why this number is significantly lower than the other northern Spanish autonomic communities of Asturias and Galicia. Simultaneously, Eucalyptus plantations have become the dominant form of forestation covering approximately 8% of total ground surface and forming 19% of the total amount of forests in Cantabria. This vegetation cover is found predominantly in the coastal region, where few of the identified Iron Age hillforts are found and where the plantations encroach on identified hillforts, making identification of new hillforts more difficult. While new digital tools and data for cultural resource management have become available, such as Light Detection and Ranging (LiDAR) and Geographic Information Systems (GIS), their usage have been limited in this region. To address this issue the research poses the question: ‘How can available methods and tools of archaeological prospection and cultural heritage management be used in an integrated workflow to find, map and preserve Iron Age hillforts under Eucalyptus plantations in Cantabria?’. The proposed integrated workflow consists of narrowing down suitable locations for Iron Age hillforts through object-based predictive modelling (OBPM) and subsequently remote prospection of those locations to identify potential features associated with archaeological sites. To test this approach it has been put into practice. The proposed workflow proved effective, but has also shown limitations. The parameters chosen are most-likely not solely relevant for Iron Age hillforts, consisting out of Geomorophon, incoming visibility-index and out-going visibility index. Also the research focus on Eucalyptus plantations showed a variability of noise in the Digital Elevation Model (DEM) for locations under Eucalyptus plantations, sometimes impeding readability of those areas. Nevertheless, the use of Sky View Factor (SVF) and the sufficiently narrowed down study area still proved effective in finding and documenting possible archaeological features, of which fifty (50) different locations have been identified with a variation of characteristics, all adhering to the set parameters. This suggests that the proposed integrated workflow is currently an effective tool in the finding, mapping and preserving archaeological sites near or encroached by Eucalyptus plantations.Show less
Százhalombatta-Földvár is one of the biggest and most extensively studied Bronze Age tell sites in Hungary. Due to its location on a dry loessy high bluff zone on the Western bank of the river...Show moreSzázhalombatta-Földvár is one of the biggest and most extensively studied Bronze Age tell sites in Hungary. Due to its location on a dry loessy high bluff zone on the Western bank of the river Danube, a sedimentary environment that is appropriate for pollen preservation to conduct pollen analysis was not found around the site (Sumegi & Bodor, 2000). Instead, regional pollen analysis has been conducted to study the environment relating to the Százhalombatta-Földvár site. This regional sediment sample was obtained by coring from an oxbow lake about 500 m away from the site. During the Százhalombatta-Földvár excavation in 2022, however, the lithological examination of the floor sediment from [House] 9000 indicated the possibility for pollen preservation, followed by palynological investigation including the comparison to the regional pollen record. This unconventional method of pollen analysis was successfully conducted, yielding a well-preserved pollen assemblage. The methods of pollen analysis applied are pollen counts, taxonomic identification and states of preservation analysis. These methods indicate that the well-preserved pollen assemblage obtained from the unconventional context does not reflect the pollen assemblage from the oxbow lake pollen record. Especially the absence of arboreal pollen at the site compared to that recorded in the regional pollen data is conspicuous. These results allow us to discuss and investigate the sample from [House] 9000. Specifically, in the sample, taphonomic agents contributing to the absence of arboreal pollen in contrast with the regional palynological signal are analysed and the predominance of Poaceae is explained with taphonomic processes. Furthermore, the taphonomic agents causing the primary pollen preservation states are investigated and the taphonomic processes resulting in the preservation biases are explored in archaeological interpretation. In consequence, the investigation of the taphonomic processes suggests anthropogenic agents causing the discrepancy and bias in the pollen assemblage with the construction and materials used for [House] 9000. The pollen preservation state analysis revealed that the primary states of pollen preservation are degraded and folded. These in turn are evidence of the taphonomic processes of oxidisation and physical stress, which in combination with archaeological evidence suggests anthropogenic activities as cause. To conclude, this thesis could contribute to multi-disciplinary research and greater understanding of the Bronze Age site, Százhalombatta-Földvár. Moreover, it demonstrates new potential of palynological analysis employing an innovative sampling method that directly relates to the human activities at the site. The results of this thesis have the potential to stimulate further application of this new approach.Show less
In onderhavig scriptieonderzoek wordt met een kritische blik gekeken naar de toegepaste prospectietechnieken en interpretaties van het drietal prospectieve onderzoeken in Geertjesgolf te Winssen,...Show moreIn onderhavig scriptieonderzoek wordt met een kritische blik gekeken naar de toegepaste prospectietechnieken en interpretaties van het drietal prospectieve onderzoeken in Geertjesgolf te Winssen, Moordhuizen en Angeren. Allen gelegen in het Gelderse deel van het Nederlandse rivierengebied. Tenslotte worden aanbevelingen gedaan voor toekomstige prospectieve onderzoeken binnen het rivierengebied. Aanleiding voor het onderzoek zijn de acties en gevolgen die hebben plaatsgevonden op de locaties Geertjesgolf te Winssen, Moordhuizen en Angeren, waarbij een archeologisch rijk landschap werd aangetroffen nadat de gebieden waren vrijgegeven. Ondanks dat grote delen van Geertjesgolf na deze vrijgave zijn weggegraven kon een groot gedeelte van het archeologische bodemarchief ex situ worden behouden. In het geval van Moordhuizen is zeer veel en met name bijzonder vondstmateriaal tijdens baggerwerkzaamheden verzameld. Echter is de context van het materiaal niet meer te achterhalen. Het onderzoek in Angeren daarentegen kent geen verloren archeologie. Nieuwe verwachtingsmodellen en bijbehorende prospectietechnieken tonen een haast feilloos systeem, waarmee archeologisch vindplaatsen op meerdere landschappelijk niveaus kunnen worden opgespoord. Tijdens het onderzoek veelvuldig gebruik gemaakt van literatuuronderzoek. Hierbij zijn met name (oudere) rapporten met betrekking tot het drietal onderzoeksgebieden geraadpleegd. Daarnaast is zowel analoog als digitaal kaartmateriaal bestudeerd. Het geraadpleegde kaartmateriaal had betrekking op archeologische- en landschappelijke verwachtingskaarten van de individuele onderzoeksgebieden als het Gelderse deel van het Nederlandse rivierengebied. Ten slotte heeft eigen opgedane ervaring tijdens archeologische onderzoeken in het rivierengebied als zeer belangrijke factor meegespeeld tijdens het onderzoek naar deze drietal prospectieve onderzoeken. De resultaten van onderhavig onderzoek laten zien dat relatief eenvoudige oorzaken hebben geleid tot het vrijgeven van twee van de drie onderzoeksgebieden. Een van de belangrijkste hoofdoorzaken is wellicht de misinterpretatie van komgebieden en hun onderliggende landschappen. Al vanaf de aanleg van de Betuweroute in 1995 ging men er van uit dat zij onaantrekkelijk waren voor menselijke activiteiten. Naar aanleiding van deze aanname vond in gebieden met een dergelijke bodemopbouw slechts in geringe mate archeologisch onderzoek plaats. Wanneer vervolgonderzoek wel plaats vond boorde men doorgaans slechts tot 2 a (maximaal) 3 meter, - Mv, waardoor de onderliggende landschappen vrijwel niet tot nauwelijks werden geïnterpreteerd. Daarnaast zorgde een natuurlijke factor voor verkeerde interpretaties van het landschap, namelijk de seizoenen. Doordat de rivieren in herfst en winter een relatief grote waterafvoer kennen, hadden de Maas uiterwaarden te maken met gemiddeld hoge grondwaterstanden. Als gevolg kon het opgeboorde boormonster niet tot nauwelijks worden opgehaald en beschreven. Tijdens latere onderzoeken in 2011 en 2017 werd de verkeerde interpretatie van het landschap bij Moordhuizen door middel van profieldocumentaties weer corrigeert, maar dit was immers al te laat. Groten delen waren in de jaren ervoor afgegraven en opgebaggerd. Zo ook waarschijnlijk de rijkste archeologische vindplaats van Nederland. Ondanks het grootte archeologische verlies in Geertjesgolf en Moordhuizen is een positieve leercurve op het gebied van prospectietechnieken te zien het archeologische werkveld. De landschappelijke kennis is in dermate toegenomen, waardoor archeologische vindplaatsen onder de komgebieden in groten getale tevoorschijn komen, zoals in het tracé van de verlengde Via15. Hieraan ten grondslag ligt het principediagram. Voortaan worden ingezette prospectietechnieken niet meer afgestemd op de nieuwste technieken en innovaties, maar op het type en aard van de verwachtte vindplaatsen in relatie met het landschap. Op basis van de verkregen resultaten van onderhavig onderzoek zijn aanbevelingen gegeven voor prospectief onderzoek in het rivierengebied. Eén van de hoofduitgangspunten is dat het principediagram standaard dient te worden gehandhaafd en te allen tijde dient te worden ingezet bij prospectief onderzoek in het rivierengebied. Daarnaast dient in uiterwaard- en kronkelwaarlandschappen de bodemopbouw enkel nog in kaart te worden gebracht doormiddel van profielkolommen of lengteprofielen, met een voorkeur in drogere seizoenen met een gemiddeld lage grondwaterstand. Ten slotte dienen er meer specifiek gerichte vraagstelling met betrekking het complexe rivierengebied worden opgesteld, zodat onterechte vrijgave van toekomstige onderzoeksgebieden voorkomen kan worden.Show less
Biological kinship is a phenomenon inherent in all people. Therefore, it is no wonder that it is an often-researched topic in bioarchaeology. Even though a living person could speak about their kin...Show moreBiological kinship is a phenomenon inherent in all people. Therefore, it is no wonder that it is an often-researched topic in bioarchaeology. Even though a living person could speak about their kin, the bones of people long passed have another way of saying who their relatives are. The approach used in this research examines cranial non-metric traits, the morphological variants appearing on the skull. This study investigated the relationship between biological kinship and cranial non-metric traits in the Middenbemster skeletal collection. Examining these traits aimed to gain further insight into familial connections within the cemetery, adding to previous studies that only focused on dental non-metric traits and foot anomalies. To estimate the familial relationships in the Middenbeemster skeletal collection, the data on 27 cranial non-metric traits were collected in 213 adult individuals. The traits were visually scored as present, absent, or unobservable if skeletal material was missing or poorly preserved. After collection, data were statistically analyzed. Analysis of traits revealed that most traits were represented in the sample and that there is inconsistency in the sex dependence of the traits. The principal finding of this research was the identification of precondylar tubercle as a basis for further hypothesizing about kinship, as it appeared in a significantly higher frequency in the Middenbester sample compared to the reference sample. This finding was further used to form a hypothetical kinship group, which may further be used to explore kinship through the archival data. Moreover, this research adds to the previous research conducted on this topic in Middenbeemster and provides a fresh perspective.Show less
Locally produced incised impasto ware is known to dominate the necropoleis and settlement contexts of Falerii Veteres, modern Civita Castellana, northern Lazio, during the Orientalizing period (8th...Show moreLocally produced incised impasto ware is known to dominate the necropoleis and settlement contexts of Falerii Veteres, modern Civita Castellana, northern Lazio, during the Orientalizing period (8th – 7th centuries). Falerii Veteres is recognized as the main town of a small peripheral region, acting as a middle ground between the Sabine, Capenate, Latin and Etruscan regions. Within this well connected ancient cultural landscape the Faliscan incised impasto production remains crucially its own, adopting the decorative repertoire of the Orientalizing and bucchero wares as the artisans or consumers saw fit. The research of this thesis revolves around the main question “How did potters’ technological choices develop at Falerii during the Orientalizing period (8th – 7th centuries BCE) when it comes to the traditionally produced incised impasto ware?”. Using techniques and methodologies developed by the Archaeological Sciences, pXRF analysis was performed on an assemblage of incised impastos (n = 45). The results confirmed suspected imported vessels, proving its validity, and offered surprising results, showing two different artisanal recipes were used, either contemporaneously or possibly throughout time. These results have offered a first look into the chemical composition of the incised impasto wares and the decorative pastes which filled their incisions from the city of Falerii Veteres and its necropoleis. The results offer high potential for the study of change throughout time of raw material usage and potential provenancing of locally produced impasto for the entire region of the Ager Faliscus and beyond.Show less
The topic of discussion in this thesis is the pre- and post-settlement environment of eastern Iceland, human exploitation of it and its consequences. Materials used are pre-existing publications on...Show moreThe topic of discussion in this thesis is the pre- and post-settlement environment of eastern Iceland, human exploitation of it and its consequences. Materials used are pre-existing publications on macro- and micro-botanical remains retrieved from both archaeological and natural contexts in eastern Iceland along with new archaeobotanical data from the archaeological site of Fjörður, Seyðisfjörður. The aim is to get a comprehensive image of the environment and vegetation in the area and to estimate the scope of human exploitation of it, with special emphasis on domestic use, livestock and cultivation. The results show that most of the sites seem to have been unforested prior to the settlement and characterised by heathland and grassland. Due to this fact the environmental effect of human arrival in the area was not as dramatic as in other more forested parts of the country. The most common influence of the settlement was replacement of taxa that are preferred by grazers by more grazing tolerant taxa and an introduction of anthropogenic indicators. A decrease in woodland was also observed where relevant, as well as increased soil erosion. Evidence of grazing was detected in almost all of the sites, along with anthropogenic fertilization and heathland expansion and exploitation. Insects and fungi reliant on domestic animals were also present in some of the sites. Driftwood seems to have been the most common wood used for construction and local wood most common as fuel. Peat and animal dung were also used as fuel which suggests a versatile fuel utilisation strategy. Cereal pollen was only found at three sites and a barley seed found in Fjörður seems to be the first cereal macrofossil found in an archaeological context in eastern Iceland. Cereal seeds have been found in many archaeological sites in other parts of the island and cultivation suggested for some of them. A possible explanation for the lack of evidence of arable agriculture in eastern Iceland is the lack of archaeological, environmental and archaeobotanical research in this part of the country, especially in environments suitable for cereal cultivation.Show less
Drawing on research findings of a fish event horizon in England and extensive work on historical fish consumption in Belgium, this study aims to answer the question: How did fish consumption...Show moreDrawing on research findings of a fish event horizon in England and extensive work on historical fish consumption in Belgium, this study aims to answer the question: How did fish consumption develop in the northern Low Countries during the early and late medieval period (450-1500). This research is conducted using the Dutch Fish Bones (DFB) dataset, which includes the Number of Identified Specimens (NISP) of fish species and families from archaeological sites between 0-2000 CE. The DFB-dataset is subjected to aoristic analysis in 25-year bin categories to create a diachronic timeline. Despite potential biases and limitations, coherent with the presence of uncertainty within each assemblage and the underrepresentation of certain fish species due to differential preservation and the collection methods employed in archaeological excavations, the study offers valuable insights into regional fish consumption dynamics. During the period from 450 to 650, both inland and coastal regions displayed a preference for locally sourced fish. Freshwater eels, cyprinids, and perches were the primary choices inland, while coastal consumption mainly consisted of demersal righteye flounders and small amounts of herring. From 650 to 950, the coastal region continued to heavily rely on righteye flounders, while freshwater fish remained popular inland. However, there was a gradual emergence of marine fish consumption during the "long eighth century," likely influenced by trade and commercial hubs. Between 950 and 1200, the consumption of marine, migratory, and freshwater fish declined in the northern Low Countries, potentially due to the Medieval Warm Period and changes in fish populations. Despite this decline, there was a slight increase in codfish consumption, which may be linked to the growing trade of Norwegian stockfish. Urban areas witnessed a shift towards marine consumption between 1200 and 1375 in a period that can be called a gradual ‘fish event horizon’, rural areas, in contrast, exhibited a delayed increase in marine fish consumption almost a century after urban consumption surged. The development of markets and trade hubs played a crucial role in making marine fish more accessible in inland regions. The rapid growth in smelt consumption during the fourteenth century reflects the broader trend of rising fish consumption, fuelled by urbanization, population growth, and dietary restrictions. The formation of the Zuyderzee facilitated trade of the Hanseatic cities by providing an open waterway to the North Sea. However, human interventions disrupted the distribution of fish species, leading to a decline in freshwater eels. During the late fourteenth to seventeenth centuries, fish consumption experienced significant expansion phases. Herring, cod, and righteye flounders were consumed in larger quantities, driven by technological advancements in fishing techniques and equipment. The herring industry of the northern Low Countries grew rapidly, with Dutch vessels dominating European trade. Between 1650 and 1800, overall fish consumption declined due to conflicts, economic difficulties, and political instability. However, throughout the centuries following the fish event horizon, the pattern of high marine fish consumption has remained steadfast and continues to be relevant in modern times. These findings illuminate historical fish consumption patterns in the region and provide a foundation for future research, including enriching the dataset, calling for additional meta-analyses and isotopic research, and addressing knowledge gaps, such as the significant decrease in overall fish consumption in the period 950-1200.Show less
The aim of this paper is to critically examine the use and validity of the term ‘skull cult’ in academic literature. Since the discovery of the first plastered skull in 1953 by Kenyon, more...Show moreThe aim of this paper is to critically examine the use and validity of the term ‘skull cult’ in academic literature. Since the discovery of the first plastered skull in 1953 by Kenyon, more plastered skulls have been dug up from sites across West-Asia. Due to temptation ideas were opted for a shared tradition, which resulted in a grand narrative called the ‘skull cult’. As a consequence detailed information was overlooked, and local variation ignored. Due to the limited scope of this paper, twelve sites were selected for analysis, including: Jericho, Yiftahel, Kfar Hahoresh, Beisamoun, ‘Ain Ghazal, Nahal Hemar, Tell Ramad, Tell Aswad (Southern Levant), Abu Hureyra, Çayönü, (Northern Levant/ South-east Anatolia), Köşk Höyük, and Çatalhöyük (South-central Anatolia). The sites were first examined individually to provide a clear overview of each settlement. They were structured according to several variables associated with plastered skulls and skull retrieval, which are the following: gender, age, individual and/or group burials, findspot, headless and/or intact burials, skulls or cranium, and other skull manipulations (i.e., plain, paint, artificial modification) and decorations applied to the skull. Next, the sites were compared to each other to find potential similarities and differences. Gender, age, and intact burials did not provide sufficient data, and therefore, no speculations have been proposed. Headless burials did produce incomplete data as well, but the presence at most sites supports the act of skull retrieval practices at the site. Overall, the data showed the existence of analogies between sites, but these are outweighed by local diversities. In addition, the significant distance in time and space with regard to a few sites does also contradict the idea of one shared mortuary practice. Skull retrieval might have originated from the late Natufian period onwards, but over time local variations evolved to which people from each site attached their own unique symbolic meanings.Show less
During the 13th and 14th centuries, the shipbuilding traditions in the Baltic Sea and North Sea regions underwent significant transformations. From 1000 to 1300, large cargo ships built in the...Show moreDuring the 13th and 14th centuries, the shipbuilding traditions in the Baltic Sea and North Sea regions underwent significant transformations. From 1000 to 1300, large cargo ships built in the Nordic shipbuilding tradition dominated the maritime trade. After 1300 the supremacy in the region's maritime trade shifted to German merchants and the Hanseatic League, leading to the disappearance of the Nordic shipbuilding tradition and the rise of cogs as the most common cargo vessels in Northern Europe. Initially, the shift from Nordic ships to cogs was attributed to the latter's perceived better performance, as it was believed that it was technically impossible to build large ships in the Nordic tradition. However, this assumption was challenged when large cargo vessels built in the Nordic tradition were discovered. As a result, scholars shifted their focus from technical explanations to socio-economic ones. These socio-economic narratives linked the dominance of cogs mainly to their lower shipbuilding costs, as well as the commercial, political, and military power of the Hanseatic League. Besides the differences in building techniques, Nordic cargo ships and cogs had very different hull shapes and therefore differences in performance are to be expected even when comparing ships of similar sizes. However, a comprehensive performance comparison between Nordic cargo ships and cogs has not been made since most shipwrecks are only partially preserved, and the evaluation of ship performance requires a complete hull. The 3D model reconstruction of shipwrecks provides thus an opportunity to evaluate the performance capabilities of ancient vessels. This thesis aims to apply modern naval engineering approaches, typically used for modern ships, to assess and compare the performance of Nordic cargo ships and cogs using 3D reconstruction models. The goal is to determine whether the socio-economic reasons for the shift from Nordic cargo ships to cogs went hand in hand with an improvement in ship performance. To this purpose weight and stability calculations, as well as speed estimations and seakeeping calculations are conducted on the 3D model reconstructions of the Big Ship of Wismar, a 12th century Nordic cargo ship, and the Bremen cog, a 14th century cog of similar size. The results reveal significant differences between the Big Ship of Wismar and the Bremen cog in all the examined performance characteristics. Overall, the Big Ship of Wismar demonstrates superior transverse stability, speed, and seakeeping behaviour than the Bremen cog. These findings, together with the evidence from calculations on other ships and sea trials on full-scale replicas, indicate that the socio-economic factors had such a substantial impact on shaping the observed transformations in shipbuilding traditions, that they outweighed the reduction in ship performance. Additionally, cogs' key features, such as high freeboard, full hull lines, closed deck, and superstructure, appear to have played a crucial role in their supremacy. These characteristics not only allowed them to transport cargo in bulk, but also provided a defensive advantage against attacks. While Nordic cargo ships exhibited superior speed, stability, and seaworthiness, cogs were more suitable for meeting the social demands of the time. This thesis demonstrates that modern naval architecture methods can effectively be applied to 3D model reconstructions of ancient ships to enhance the understanding of ship performance in maritime archaeology. Additionally, it proves that evaluating ship performance can provide valuable insights on broader research questions, such as understanding the social changes that would have influenced and driven the transformative processes observed in shipbuilding traditions.Show less
This research is an analysis and interpretation of the Gandharan School of Buddhist art, which is popularly also known as Graeco-Buddha art. Commonly, this school of art has been considered as...Show moreThis research is an analysis and interpretation of the Gandharan School of Buddhist art, which is popularly also known as Graeco-Buddha art. Commonly, this school of art has been considered as drawing heavy Hellenistic influence and was considered to be producing the first iconic image of Buddha through sculptures. The thesis revisits the popular conceptions and attempts to deconstruct these ideas to understand the artistic identities and influences surrounding this Buddhist School of Art. The thesis poses a twofold main question– 1: What are the predominant misconceptions concerning the Gandharan School of Art and where did these originate from? 2: The impact of these misconceptions on past and current museum displays and the impact on cultural heritage of the Gandharan School of Art as well as the heritage management of these archaeological artefacts. These questions have been answered by analysing the historiography of early archaeological excavations in the Gandharan region and a brief discussion on the importance of provenance research due to the colonial connotation to the early research done on the Gandharan School of Art. Discussions and critical analysis on the importance of material evidence and its analysis through composition, research on the techniques and materials used in the production of the sculptures and by understanding the importance of smaller, more intra- regional artistic identities of the Buddhist Gandharan art as well as finding more scientifically accurate data. There is also emphasis on Gandhara as a region being subject to many political empires and the exchange of cultures, people and trade which led to its development. Some scholarship, supplemented with Buddhist texts were also used to study the actual iconography and symbolism used in Gandharan art and its own development as a school of art. 83 Two case studies were also used to understand the impact of the misconceptions of Gandharan Art in museums and heritage spaces by analysing the Indian Museum, Kolkata and the Gandharan Gallery at the Indian Museum Kolkata including brief archaeological analysis of objects. There is also a study done on the state of management of the Indian Museum, Kolkata and proposed suggestions to foster better heritage practices and adhere to a high standard of cultural heritage protection and education. The research led to certain conclusions some of them being– the ancient symbolisms and presence of early Buddhist art that precedes Gandharan art which has very similar illustrations as that of the latter. Another importance observation was on the importance of supplementing Pali canons and Buddhist texts such as the Jātakas on which the Gandharan School of Art and every Buddhist art is created as it is ritualistic in function. Data derived from material and technological analysis of the Gandharan objects yielded useful. The extent of Hellenistic influence was also challenged in the research as well. Lastly, the protection and representation of cultural heritage in our case studies of the Indian Museum gave us insight into one of the earliest museums that houses Gandharan objects and a set of propositions to improve heritage management practices.Show less
In this master thesis, finding the significance(s) of conflict archaeology is key, with the Battle of Arnhem (September 1944) as a case study. This event, like (all) other battles and narratives of...Show moreIn this master thesis, finding the significance(s) of conflict archaeology is key, with the Battle of Arnhem (September 1944) as a case study. This event, like (all) other battles and narratives of WW2, or even of our contemporary past as a whole, has been researched by historical, rather than archaeological sources and views. Using the data of excavations from professional archaeology, but also the results, methods and motives from non-archaeological initiatives, be it local museums or individual or united metal detectorists, an overview of the widespread of several different stakeholders that are being involved in the remembrance of the Battle of Arnhem is given. Also involved in heritage are the Ministry of Defence (Netherlands Armed Forces) and commercial unexploded ordnance (UXO-)companies, both literally coming into contact with ground dug items, but these were no part of this thesis, as giving a full, complete overview of all heritage from the soil archive seemed too ambitious. Through several case studies and some examples from all available nonarchaeological data, a selection of non-professional archaeological finds from the Battle of Arnhem was presented for the first time. Furthermore, by consulting all data from professional archaeology and combining the results and methods with the motivations and initiatives from other discussed, aforementioned, stakeholders, an attempt at a synthesizing level is made. Using this, different views on, for example, remembrance and education, are presented. Especially the role archaeology can play in the “broader meaning” and “democratising” of heritage, and the role it may have for all involved specific communities, is being discussed. Through this, “prevalent opinions” may be challenged and deviant narratives may arise, and the potential of an interdisciplinary approach becomes clear: challenging dominant narratives, providing a more complete and nuanced picture of the past, and promoting a more inclusive and diverse understanding of history by cooperation, and by consulting and respecting all involved stakeholders, which is in line with the Faro Treaty.Show less
The World Heritage Site of Aksum represents one of Late Antiquity’s most impressive civilizations. Yet, the archaeological materials representing Africa's impressive ancient civilization are...Show moreThe World Heritage Site of Aksum represents one of Late Antiquity’s most impressive civilizations. Yet, the archaeological materials representing Africa's impressive ancient civilization are scattered across museums worldwide, with inadequate categorization, documentation, and ongoing research. Furthermore, the management of the Aksum World Heritage Site has consistently fallen short, as highlighted by both archaeological and ICOMOS reports. Its issues are fundamental and all-encompassing, ranging from urban encroachment and illicit excavating, to severe flood risks and destabilization of the site's iconic monuments. Additionally, political instability in Ethiopia has further hindered the preservation and recognition of Aksum's archaeological significance. This thesis aims to address these challenges by contributing to the study of Aksumite archaeology and proposing strategies to increase public awareness of the threatened Aksumite heritage. Firstly, this thesis endeavors to create a comprehensive overview of current historical, archaeological knowledge on ancient Aksum and its often overlooked Aksumite material collections, which have been dispersed due to Ethiopia's colonial history. By gathering and organizing this dispersed knowledge, the thesis seeks to shed light on the impressive materiality of ancient Aksum. Building on these findings, the research proposes a strategy to generate public outreach for Aksumite heritage by harnessing innovative digital technologies. By thoroughly researching the use of digital platforms, immersive experiences, and interactive tools, this thesis seeks to bridge the gap between the scattered material collections and the global heritage community, by aiming to make the Aksumite heritage more visible, accessible and interactive. By comprehensively addressing the issues of neglect, mismanagement, and lack of integration into global historical narratives, while simultaneously proposing practically applicable strategies towards effective heritage outreach, this research strives to revitalize the recognition and preservation of the Aksumite heritage. The thesis underscores the urgent need for concerted efforts to protect and showcase the Aksumite heritage before it remains forever hidden from modern science.Show less
Social networks are analysed to identify connections between archaeological phenomena, such as pottery assemblages, communication networks, and sites. This can be done by linking these phenomena...Show moreSocial networks are analysed to identify connections between archaeological phenomena, such as pottery assemblages, communication networks, and sites. This can be done by linking these phenomena using statistical methods or abstract network models. However, the use of abstract, computer-generated networks to study empirical datasets has been underused in archaeology. Therefore, employing computational models from other academic disciplines can benefit from this lack of abstract network analysis. This study analyses how various computer-generated networks influence the rate of adoption of the Bell Beaker pottery in the Lower Rhine Region. The Bell Beaker pottery is a Late Neolithic and Early Bronze Age material culture that had been widespread across Western and Central Europe. For more than a century, there has been much debate on how the Bell Beaker phenomenon became prevalent in the archaeological record. The spread of the Bell Beaker pottery can be analysed in the context of the Lower Rhine Region by using the sociological concept of diffusion of innovations. In this thesis, the diffusion of innovations is applied to an agent-based model in which the spread of the Bell Beaker phenomenon in the Lower Rhine Region is simulated. In this model, various computer-generated networks were tested to analyse which network type fits the Bell Beaker data the best. This data is comprised of pottery frequencies from settlement sites which were chronologically organised to show how the Bell Beaker pottery was distributed over time. The results from the simulation were compared to the communication network of the Lower Rhine Region devised by Kleijne (2019). The results of this comparison show that the diffusion of the Bell Beaker phenomenon was initially fast but stagnated later in time. The diffusion was transmitted over a network structure in which a few nodes have a central position in connecting the entire network (scale-free network). The results indicate that using abstract, computer-generated networks is a suitable approach to assessing archaeological networks. Additionally, the application of theoretical and computational models from other academic disciplines can contribute to archaeological theory building. Further research is needed to test other types of network structures that were not applicable to the model used in this thesis.Show less
Roughly from the beginning of the common era and the late fourth century, the area that now makes up the Netherlands functioned as a frontier zone of the Roman Empire. Its border was the Rhine,...Show moreRoughly from the beginning of the common era and the late fourth century, the area that now makes up the Netherlands functioned as a frontier zone of the Roman Empire. Its border was the Rhine, with the South of the river the territories under Roman rule, while the area to the North was part of an area called Germania by the Romans. The current North-Western Netherlands, consisting of the provinces of Noord-Holland, Friesland and partly Groningen, was the living area of a Germanic people or tribe named the Frisii. For a long time, local peoples at the borders of the Roman Empire have been regarded as a matter of secondary importance in not only the archaeology of the Roman Period but also in the museum context. While various reasoning lay at the basis of this, a crucial factor is the early 19th century concept of romanisation, which disregarded autonomy, authority, and self-identification of those who have been ascribed to the Germanic peoples over ‘being Roman’. In this thesis, as a focused case in the context of the previously mentioned, an exploration is made of the representation of the Frisii. Two questions stand central in this: ▪ How are the Frisii represented in museums in the North-Western Netherlands? ▪ Why are the Frisii (not) represented? These main research questions are subsequently divided into a set of sub-questions, focussing on various aspects of the representations. The study was conducted by analysing three different museums: The Rijksmuseum van Oudheden (RMO) in Leiden, Huis van Hilde museum (HvH) in Castricum, and Archeologisch Museum Baduhenna (AMB) in Heiloo. As the living area of the Frisii has been ascribed to both the western and northern Netherlands and the study focuses on the western area, the Fries Museum (FM) in Leeuwarden was chosen as a comparative case study location. These locations were subjected to a thorough investigation, consisting of exhibition and (online) content analyses. Literature research on the background contexts and interviews with professionals from some of the organisations were conducted additionally. The reasoning for the latter was to better understand the motives behind (not)representing the Frisii and the here for chosen methods. As the study indicated, the representation of the Frisii at these locations varied in presentation methods and communicated narratives, underlining different approaches to Roman history, including Roman-centred, presented perspectives versus more autonomous ones. Various motives to represent the Frisii were identified, including the formation of regional identity and the substantiation of national history frames. In this, various forms of archaeological representations, didactic and non-didactic, are used to bring forth the presented narratives. In addition to these (re)presentations, a disarray of terminology was identified and discussed. This study explores all the issues previously mentioned and hopes to create a starting point for critically analysing the representation of local or ‘Germanic’ peoples in the Dutch Museum context, working towards the (re)presentation of a more inclusive Roman history of the Netherlands to the museum public.Show less
This study critically explores the role atmospheric experience could have for the livability of modernist architectural environment. Atmospheric experience and the wider domain of experiential...Show moreThis study critically explores the role atmospheric experience could have for the livability of modernist architectural environment. Atmospheric experience and the wider domain of experiential engagement with one’s (architectural) living environment have long been omitted from positivist discourse, heritage, and policymaking, despite its fundamental significance for human existence. Atmospheric experience is defined as the affective and embodied experience of a spatial environment which impacts subjective notions of wellbeing, a sense of belonging and meaning making. In turn, subjective wellbeing is a significant dimension of overall livability. In this study, New Phenomenology as defined by Schmitz (1999) and Sørensen (2015) informs the theoretical discussion and subsequent methodology and analysis. This study therefore seeks to contribute to a re-evaluation of phenomenology as a scientific approach with a significant contribution for understanding holistic experiential phenomena as part of human existence. This informs the conceptualization of a preliminary model of embodied significance of heritage (the affective judgement of embodied experience), which is tested on the empirical case of the modernist village Nagele, the Netherlands. Consequently, this study presents a new conceptual avenue for a more holistic approach of the value and significance of heritage, which considers atmospheric experience on equal footing regarding the dominant cultural-historical and socio-economic values of heritage in current policy and practice. Atmospheric experience is operationalized as neighborhood satisfaction in relation to subjective wellbeing. Insights from interviews, archive material and secondary literature demonstrated that the preliminary model could serve as a critical tool to incorporate and translate subjective, inter-subjective and shared experience in discussions regarding heritage value, wellbeing, and livability. It is argued that atmospheric value creates more sensitivity for the holistic nature and complex lifeworlds of dwellers of modernist heritage sites. A model is necessary to transpose phenomenologically informed findings and discussion to the (positivist) paradigm of policy and practice.Show less
The history of domestic ducks (Anas platyrhynchos domesticus) and geese (Anser anser domesticus) remains poorly understood and retains many open questions. This circumstance makes it difficult to...Show moreThe history of domestic ducks (Anas platyrhynchos domesticus) and geese (Anser anser domesticus) remains poorly understood and retains many open questions. This circumstance makes it difficult to assess the role of wildfowling as well as the economic and social impact of the domestication of ducks and geese in different periods. The lack of data is mainly caused by the difficulty of identifying archaeological bones as domestic, due to the existing overlap between anatid species and domestic and wild forms. Different dates are given in academic literature for their adoption in the Netherlands, ranging from the Iron Age to the Early Middle Ages in the case of domestic geese, and from the Roman period to the Late Middle Ages in the case of domestic ducks. This thesis applies a new osteometrical methodology (Poland, 2018) that allows to identify domestic forms and distinguish between anatid species with more confidence. As a case study, four archaeological assemblages from the Zuid Holland province in the Netherlands are analysed, ranging from the Roman period to the 17th century AD: Voorburg-Arentsburg, Oegstgeest-Nieuw Rijngeest Zuid, Vlaardingen-Gat in de Markt and Rijswijk-Kerklaan 98. The new osteometrical methodology was highly successful in determining the variety of anatid species present in the four study cases. 53% of the analyzed elements were identified to the species level and 75% to at least the genus level, although the success varied according to the particular bone type and anatid group. Species diversity was much higher than expected in two of the sites (Oegstgeest and Rijswijk), and the analysis provided a more accurate quantification and species identification for the other two sites (Voorburg and Vlaardingen). It is determined that domestic geese were present in the Netherlands since at least 160-230 AD, and domestic ducks since at least 585-725 AD. The latter might also be present in the Roman assemblage, but the evidence is inconclusive. As of their economic role, domestic species constitute only a small percentage of the total consumed anatids and do not surpass 15-20% in any case. This is mainly caused by the weight of wildfowling in the Netherlands, concentrated during the winter season. Taphonomical analysis did not show substantial differences between the anthropic treatment of wild and domestic anatids. When compared to chicken (Gallus gallus domesticus), these highly outnumber domestic geese and ducks since their remains usually constitute half of the birds in each assemblage. The economic role of chicken was therefore much higher and better established than that of geese and ducks. The sample size considered in this thesis is likely too small and biased to accurately detect any kind of evolution through time. In any case, no increase has been observed and the total percentages of domestic anatids seem to remain constant.Show less
A collection of fish remains recovered from the Upper Palaeolithic site of Les Pedroses in the Spanish province of Asturias have been examined to determine the nature of accumulation. Research...Show moreA collection of fish remains recovered from the Upper Palaeolithic site of Les Pedroses in the Spanish province of Asturias have been examined to determine the nature of accumulation. Research focused on the anatomy, taxonomy, taphonomy and osteometry of the remains. The site is located along a tributary of the Sela river valley Asturias in the municipality of Ribadesella. Previous excavations have uncovered evidence of human occupation ranging from the Solutrean to the Early Holocene. The fish remains were recovered from four stratigraphical layers found at the back of the vestibule along the northern wall of the cave. The oldest layer has been radiocarbon dated to 12.250±40 BP or 14.328-14.004 Cal BP, which puts it well within the Late Upper Magdalenian. It is followed by a transitionary layer, an Early Holocene layer and a superimposed layer. Taxonomic identification of the remains was conducted with the help of fish bone reference collections housed at the Laboratory for Archaeozoological Studies of Leiden and the Laboratory for Zooarchaeological Research at the University of Amsterdam. A family, genus or species level identification could be obtained for the majority of fish remains found in the assemblage. A mix of marine and freshwater fishes were identified with Clupeids and Salmonids being best represented taxa in all four stratigraphical layers. Vertebrae were by far the best represented skeletal elements. Over half of the skeletal elements in all four stratigraphical layer could be identified as vertebrae. All skeletal elements were measured according to the guidelines established in Watt et al. (1997) for vertebrae and Morales & Rosenlund (1979), when applicable. Total length and weight of the fishes was estimated through the use of global rachidean profiles. Clupeid and salmonids vertebrae, the most common taxa and skeletal elements, were compared to two reference specimens taken from the Laboratory for Archaeozoological Studies of Leiden. We estimate the clupeids had fork length of less than 24 cm and the salmonids had a total length of around 29.5 cm and weighted roughly 200 grammes. The total length and weight of all other taxa falls somewhere in-between, likely on the side of the Clupeids. The presence of bone surface modifications such as compression or digestion and degree of fragmentation was documented for each skeletal element in the assemblage. Over 90% of the remains were fragmented with 10 to 20% of vertebrae showing signs of compression or digestion. The absence of chopmarks, cutmarks or burning marks and the overall small size ranges of the fishes discounts an anthropogenic origin of accumulation. The osteometrical, taphonomical, taxonomical and anatomical aspects of the assemblage best fit the characteristics of fish bones deposited by otters (Lutra lutra L.). The seasonality inferred from the fishes suggests human occupied Les Pedroses during the late summer and autumn months. This research has illustrated the archaeological value in fish remains, which are typically understudied in the region.Show less