India’s Agasthyamala among 20 UNESCO world biosphere reserves:-
India’s “unique” Agasthyamala Biosphere Reserve in the Western Ghats is among 20 new sites added by the United Nations’ top cultural body UNESCO to its World Network of Biosphere Reserves.
The International Coordinating Council added the new sites during a two-day meeting on Saturday in Lima, capital of Peru, bringing the total number of biosphere reserves to 669 sites in 120 countries, including 16 trans-boundary sites.
The newly adopted sites include 18 national sites and one trans-boundary site shared between Spain and Portugal.
“Home to 2,254 species of higher plants”
“Located in the Western Ghats, in the south of India, the Agasthyamala biosphere reserve includes peaks reaching 1,868 metres above sea level. Consisting mostly of tropical forests, the site is home to 2,254 species of higher plants including about 400 that are endemic,” UNESCO said.
“It is also a unique genetic reservoir of cultivated plants especially cardamom, jamune, nutmeg, pepper and plantain. Three wildlife sanctuaries, Shendurney, Peppara, Neyyar and Kalakad Mundanthurai Tiger reserves, are included in the site,” it said.
Spread across T.N., Kerala
The Agasthyamalai Biosphere Reserve (ABR) was established in 2001 and is spread across the two States of Kerala and Tamil Nadu.
Biosphere reserves are places for learning about sustainable development aiming to reconcile the conservation of biodiversity with the sustainable use of natural resources.
New reserves are designated each year by the International Coordinating Council of the UNESCO’s Man and the Biosphere (MAB) Programme, which brings together elected representatives of 34 UNESCO Member States.
Number of tribal settlements
“A number of tribal settlements with a total population of 3,000 are located in the [Agasthyamala] biosphere reserve. They largely rely on biological resources for their sustenance and recent projects have been set up successfully to reduce their dependence on the forests,” UNESCO said.
There are 18 biosphere reserves in India out of which only nine, including the Nilgiris, Nanda Devi, Nokrek, Gulf of Mannar, Sundarban, and Great Nicobar, had been included in the network.
Protecting swathes of natural habitat
Biosphere reserves in India protect larger areas of natural habitat and often include one or more National Parks and/or preserves, along with buffer zones that are open to some economic uses.
Protection is granted not only to the flora and fauna of the protected region, but also to the human communities who inhabit these regions, and their ways of life.
Dept. of Biotechnology launches fund to tackle anti-microbial resistance:-
In a move to encourage biotechnology start-ups as well as tackle the threat faced by India from resistance to antimicrobial drugs, the Department of Biotechnology (DBT) — through the Biotechnology Industry Research Assistance Council (BIRAC) — has invested an initial $1,00,000 to start an India-focussed seed fund to help groups in India compete for the Longitude Prize. This is a £ 10 million prize offered by Nesta, a U.K. charity, to any individual group anywhere in the world that develops an affordable, effective diagnostic test to detect resistance to microbes.
Renu Swarup, Managing Director, BIRAC, said the collaborations were to encourage more biotechnology start-ups out of India. “BIRAC, since its inception, has supported several social entrepreneurs and we are committed to creating an atmosphere where innovation is encouraged and nurtured,” she said. BIRAC is supported by the DBT.
India faces increasing instances of tuberculosis patients being resistant to front line drugs. Experts say this is due to lax monitoring and profligate prescription by medical authorities that allow these drugs to be easily available. Indiscriminate usage means that bugs are, overtime, able to resist these medicines. The World Health Organisation statistics for 2014 give an estimated incidence figure of 2.2 million cases of TB for India out of a global incidence of 9 million, with instances of drug-resistant TB rapidly rising.
Alongside Nesta, BIRAC also inked collaboration with Tekes, the Finnish funding agency, to improve competitiveness of Indian and Finnish industries through promoting collaboration in different phases of the knowledge innovation chain and it is teaming up with Horticulture Innovation Australia (HIA) for a joint funding programme to support innovative technologies for sustainable horticulture at a global level.
Last December, the DBT laid out a strategy whereby biotechnology would be at the foundation of a $100-billion industry by 2025, rising from the current $7-$10 billion.
Four missions
The National Biotechnology Development Strategy, as it is called, expects to launch four missions in healthcare, food and nutrition, clean energy and education; create a technology development and translation network across India with global partnership.
3D printing could help fix damaged cartilage in knees:-
By 3D bio-printing an ink containing human cells, researchers have now found a way to produce cartilage tissue damaged by injuries or age.
Athletes, the elderly and others who suffer from injuries and arthritis can lose cartilage and experience a lot of pain.
The new process, presented at the 251st National Meeting & Exposition of the American Chemical Society (ACS) in San Diego, the U.S., could one day lead to precisely printed implants to heal damaged noses, ears and knees.
“Three-dimensional bio-printing is a disruptive technology and is expected to revolutionise tissue engineering and regenerative medicine,”
To create a new bio-ink, the scientists mixed polysaccharides from brown algae and tiny cellulose fibrils from wood or made by bacteria, as well as human chondrocytes, which are cells that build up cartilage. Using this mixture, the researchers were able to print living cells in a specific architecture, such as an ear shape, that maintained its form even after printing. The printed cells also produced cartilage in a laboratory dish.
Moving the research from a lab dish to a living system, the researchers printed tissue samples and implanted them in mice. The cells survived and produced cartilage. Then, to boost the number of cells, which is another hurdle in tissue engineering, the researchers mixed the chondrocytes with human mesenchymal stem cells from bone marrow. Preliminary data from in vivo testing over 60 days showed that the combination does indeed encourage chondrocyte and cartilage production.
What is 3D printing?
3D printing or additive manufacturing is a process of making three-dimensional solid objects from a digital file. The creation of a 3D printed object is achieved using additive processes. In an additive process an object is created by laying down successive layers of material until the entire object is created. Each of these layers can be seen as a thinly sliced horizontal cross-section of the eventual object.
How does 3D printing work?
It all starts with making a virtual design of the object you want to create. This virtual design is made in a CAD (Computer Aided Design) file using a 3D modeling program (for the creation of a totally new object) or with the use of a 3D scanner (to copy an existing object). A 3D scanner makes a 3D digital copy of an object.
3d scanners use different technologies to generate a 3d model such as time-of-flight, structured / modulated light, volumetric scanning and many more.
Recently, many IT companies like Microsoft and Google enabled their hardware to perform 3d scanning, a great example is Microsoft’s Kinect. This is a clear sign that future hand-held devices like smartphones will have integrated 3d scanners. Digitizing real objects into 3d models will become as easy as taking a picture.
Processes and technologies
Not all 3D printers use the same technology. There are several ways to print and all those available are additive, differing mainly in the way layers are built to create the final object.
Some methods use melting or softening material to produce the layers. Selective laser sintering (SLS) and fused deposition modeling (FDM) are the most common technologies using this way of printing. Another method of printing is when we talk about curing a photo-reactive resin with a UV laser or another similar power source one layer at a time. The most common technology using this method is called stereolithography (SLA).
To be more precise: since 2010, the American Society for Testing and Materials (ASTM) group “ASTM F42 – Additive Manufacturing”, developed a set of standards that classify the Additive Manufacturing processes into 7 categories according to Standard Terminology for Additive Manufacturing Technologies. These seven processes are:
- Vat Photopolymerisation
- Material Jetting
- Binder Jetting
- Material Extrusion
- Powder Bed Fusion
- Sheet Lamination
- Directed Energy Deposition
3D printing industry:-
The worldwide 3D printing industry is expected to grow from $3.07B in revenue in 2013 to $12.8B by 2018, and exceed $21B in worldwide revenue by 2020. As it evolves, 3D printing technology is destined to transform almost every major industry and change the way we live, work, and play in the future.
Medical industry
The outlook for medical use of 3D printing is evolving at an extremely rapid pace as specialists are beginning to utilize 3D printing in more advanced ways. Patients around the world are experiencing improved quality of care through 3D printed implants and prosthetics never before seen.
Bio-printing
As of the early two-thousands 3D printing technology has been studied by biotech firms and academia for possible use in tissue engineering applications where organs and body parts are built using inkjet techniques. Layers of living cells are deposited onto a gel medium and slowly built up to form three dimensional structures. We refer to this field of research with the term: bio-printing.
Aerospace & aviation industries
The growth in utilisation of 3D printing in the aerospace and aviation industries can, for a large part, be derived from the developments in the metal additive manufacturing sector.
NASA for instance prints combustion chamber liners using selective laser melting and as of march 2015 the FAA cleared GE Aviation’s first 3D printed jet engine part to fly: a laser sintered housing for a compressor inlet temperature sensor.
Automotive industry
Although the automotive industry was among the earliest adopters of 3D printing it has for decades relegated 3d printing technology to low volume prototyping applications.
Nowadays the use of 3D printing in automotive is evolving from relatively simple concept models for fit and finish checks and design verification, to functional parts that are used in test vehicles, engines, and platforms. The expectations are that 3D printing in the automotive industry will generate a combined $1.1 billion dollars by 2019.
All you need to know about OCD
What is OCD-Obsessive Compulsive Disorder:-
It is a neurobiological disorder caused by the deficiency of a neuro-chemical in the brain called serotonin, which triggers obsessions that are characterised by repetitive thoughts which are intrusive in nature. OCD traps a person in a vicious cycle of obsessions, and this leads to anxiety, fear, tension or irritation. Engaging in compulsive behaviour allows the person to lower that anxiety temporarily, but a fresh obsession is triggered soon enough.
Treating OCD
Depending on the severity of the case, the doctor treats the patient through medication or cognitive behavioural therapy (CBT). In some cases, due to their severity, doctors use medicines and CBT to treat the patient. The treatment is often for 16 to 20 sessions, with one session lasting 60 minutes. Early identification and motivation towards treatment is the key to recovery.
So when do you have to seek treatment? When the obsessive behaviour is time-consuming, causing substantial distress and severely affecting work, family and social life, it is time.
Most get the condition before the age of 25
A whopping 65 per cent of people who develop OCD do so before the age of 25. For less than 15 per cent, it happens after 35. OCD is equally prevalent among male and female adults, but when it comes to adolescents the condition is more common among boys.
TYPES OF OCD
* Contamination obsession
A person suffering from this condition has a fear of contamination by dust, dirt and even body fluids. He avoids touching objects, relies excessively on hand sanitizers, and is constantly washing his hands with soap and water. In extreme cases, he may spend hours in the bathroom
* Aggressive obsession
In this condition, the patient is convinced that a close family member or a friend will come to harm. He becomes consumed with checking up on them. In one case, a son would call up his mother 30 times a day just to make sure she is safe.
*Pathological doubts
It’s typified by constant doubts and worries. For instance, the patient may always be checking to ensure that the doors are locked, or that the geyser is switched off. Repeated counting of cash and other items in large numbers is also a trait. The actions cause distress and often extend to a condition termed ‘proxy compulsion’, where the person forces a family member check on the door locks, thus resulting in tension and quarrels.
* Hoarding obsession
When an object, possibly old and unusable, is dear to the patient, he will not discard it at any cost. An attempt by someone else to dispose of the item can cause angry behaviour in the person. There are even cases where people are compelled to save a room full of items and ‘protect’ them from others.
* Sexual obsession
Images of known persons constantly cross the mind of the person, and he often imagines physical intimacy with the individual(s). The patient rarely acts on the thought but constantly asks forgiveness in his mind for thinking so. The situation leads to severe discomfort, especially when encountering the person at a family gathering or workplace.
* Symmetry obsession
The person seeks extreme perfection at home or workplace and gets angry beyond reason when someone disrupts the order and misplaces or takes away a particular item, be it a book, cup, pen or paper clip.
* Religious obsession
It arises when a person carries out severe mental rituals, mainly prayer and obsession, towards god and religious practices.
New shark and ray species found in Indian waters:-
From the Indian waters, a unique and pleasant challenge has suddenly surfaced — 13 new species of sharks and rays.
Recently, the government had imposed a ban on the export of shark fins. Five species of sharks and two manta ray species found in Indian waters have been included in Appendix II of the Convention on International Trade in Endangered Species of Wild Fauna and Flora for monitoring its international trade. The protected species have to be accurately identified in the field or at the export/trade levels to ensure their effective protection and prevention of illegal trade.
Do You Know
Why there is a fall in boiling points of water and other liquids at hills where there is fall in atmospheric pressure?
Any liquid boils at that temperature at which its vapour pressure equals that of the atmospheric pressure. At the ground level, water boils at 100 degrees C at normal atmospheric pressure. At very high altitudes, the atmosphere thins and the pressure will be less, so that the water boils at a temperature below 100 degrees C. This makes it difficult to cook in open pans in hilly regions, and we have to use a pressure cooker. In the pressure cooker the pressure inside the container will be 2-3 times higher than at ground level. Hence water will boil at around 120 degrees C, and the materials get cooked completely. Thus one can observe a fall in boiling points of water and other liquids at hills due to the fall in the atmospheric pressure.
Why do ceiling fans have three blades?
Though we find 3-blade ceiling fans more often, we come across, quite occasionally, ceiling fans with four blades and very rarely, five-blade fancy fans, also. We would never see a ceiling fan with six or more number of blades and surely never a fan with a single blade. Irrespective of the number of blades that a fan has, the inter-blade radial sectoral angles are always the same. In other words, the radial sectoral angle is 360/n degrees where n is the number of blades. For example, if the number of blades is 3, then the sectoral inter-blade angle is 360/3=120 degrees and when the number is 4 the angle is 90 degrees. This condition of similarity of inter-blade angles, ensures a zero net effective centrifugal force on the blades and thereby, avoids wobbling of the fan during its running.
Now let us know why we find 3-blade ceiling fans most often. We use any ceiling fan as a device to circulate air which in turn hastens evaporation of sweat leaving a sense of comfort to us. The circulation of air is caused when the fan blades chop the air in front of their leading edges and push the air downwards via their lagging edges. This is achieved by the slight bending each blade has along its length such that the leading edge is slightly above the lagging edge and by a gradually varying (usually decreasing) width it features along its stretch from the motor.
The fan can have more air to cut and push, in each of its revolution, if the inter-blade angle is as high as possible, meaning as low a number of blades (n) as possible. The air can be pushed down more briskly by repeated blows during the fan’s each revolution if the fan has more number of blades (n). In other words, in each revolution of the fan, when running, a higher number of blades, reduces the volume of the air to manoeuvre but renders brisk circulation and a lower number of blades increases the volume of air but reduces air speed. In order to achieve optimal results in both (more air and more gush), we strike a balance by not having too low (2) or too many (4 or more) a number of blades on a ceiling fan. For optimal usage and reasonable power management, the balance is struck with a 3-blade system of fans, most often
Why do one’s eyes become red on consuming alcohol?
Since alcohol causes dilation of blood vessels due to release of histamine so increase in blood flow in vessels. The tiny blood vessels in sclera , the outermost layer of our eyes, become dilated causing bloodshot as well as hot eyes. Our cornea is transparent that’s why we can observe the redness of eyes clearly.
After some time it disappears. Some people tend to have red eyes very soon after drinking and for longer duration due to absence of enzyme ALDH2 (aldehyde dehydrogenase) which is responsible for the breaking of alcohol into acetic acid and vinegar in liver.
This is genetic and very common in people of East Asian descent also known as ‘Asian flush’. Persons with this disorder can develop crimson face, headache, nausea, hot eyes etc. even by consuming as little as one drink. Besides, heavy drinking depletes body of nutrients required for the healthy eyes leading to a condition termed as alcoholic optic neuritis.
Why and how do oceans absorb carbondioxide?
Ocean is the largest carbon sink on earth. It occupies nearly 70% of the earth’s surface. As such, the atmosphere comes into contact with the vast extent of ocean’s surface. The atmospheric CO enters the ocean through steady exchange at surface. This is a physico-chemical process. The difference in partial pressure of the CO between seawater and air facilitate gaseous exchange. The diffusion takes place until the partial pressures across the air-water interface are equilibrated. The following two processes ensure the continuous exchange at the air-sea interface, though occasional supersaturation at the surface film is not ruled out.
The seawater contains millions of tiny, microscopic photosynthetic phytoplankton which utilizes CO during photosynthesis. They convert the CO into sugars and other carbon compounds which ultimately enters the food web. The biological pump transfers carbon dioxide from the surface of the ocean to the deep sea.
Unlike other gases, CO reacts with seawater to form dissolved inorganic carbon, ionic and non-ionic species like dissolved free Carbon dioxide (CO), Carbonic Acid (HCO), Bicarbonate (HCO) and Carbonate (CO). The carbonate system is the unique phenomenon of marine ecosystem. The pH of seawater is regulated by the bicarbonate and carbonate concentrations. Marine organisms combine calcium and carbonate ions in the calcification process and manufacture calcareous material. As the organisms die, the skeletal material sinks and buried in sediments.
Can sun rays reflected by a mirror to a solar panel generate electricity?
The sunrays emanating from sun’s outer surface due to nuclear fusion take about 8 minutes to reach earth’s atmospheric region. They consist of ultraviolet, visible and infrared radiations ranging from 100nm (nanometre) to 100,000 nm. The visible rays ranging from 250nm to 800nm (violet to red) reach the earth’s spherical surface effectively. This range contains 45 per cent of the total solar radiation energy reaching the planet’s ground surface. This visible sunlight generates photovoltaic (PV) current on hitting a solar panel.
The reflective mirror changes the direction of the falling sunlight, not its quality when the reflectivity of the mirror is 100 per cent. But this does not happen in reality. The reflectivity of the mirrors ranges from 40 per cent to 95 per cent. With a mirror of good reflectivity (95 per cent) the intensity of the reflected sunlight will not be affected much. The reflected sunlight can generate PV current almost as effectively as the incident rays.
In the countries located far away from equator (Norway, Sweden etc.) the intensity (power) of sun light will be low (100-300w/m). Here larger sized plane mirror reflects the sun light on to the PV panels. An array of mirrors focuses the low intensity sunlight on panels to boost PV current generation. A big concave mirror also enhances the power of solar rays at the focus.
How do different plants synthesize different foods of different tastes although they use the same input materials?
Yes, different plants synthesize different food materials that taste differently. The commonest synthetic process taking place in plants is photosynthesis, wherein green plants produce carbohydrate (starch) using CO, water in presence of sunlight.
Initially glucose is produced and it is converted to starch and stored by the plant. Plants produce not only carbohydrates, but synthesize several other compounds such as proteins, oils, pigments, alkaloids, tannins, flavonoids , gums, resins, phytohormones, salts, phytochemicals etc.
Some of these compounds are used by the plants themselves but some will be stored in different parts of the plant. Proteins, phytochemicals, phytohormones are very essential for many metabolic activities that take place in plants. Plants do absorb phosphorus, nitrogen, several minerals from the soil using which they can synthesize the substances required for their growth, cell membrane synthesis etc.
Plants store the materials synthesized during their metabolic activity in different forms and circulate them to various parts of plant body to carry out other important functions. For example the pigments, essential oils, flavonoids will be circulated to parts like young leaves, fruits, flowers so as to help the plant in pollination, avoiding grazing animals, seed dispersal etc.
We, human beings are dependent on plants directly, indirectly (meat eaters) for our survival. We consume different plant parts such as grains, vegetables, leaves, spices, fruits, roots, stems etc in our daily life. In grains such as rice, wheat, stems like potato, colocasia (taro), sugarcane, roots like beetroot, sweetpotato the food is stored in the form of carbohydrates viz. starch, sugars. If it is stored in the form of starch it is bland in taste. If it is in the form of sugar as in Beets it tastes sweet.
Depending on the nature of foods stored the requirement of plant nutrients also varies. Though all green plants participate in photosynthesis and produce carbohydrates, the taste of the food varies because different plants store food in different forms.
Taste of the food we obtain depends on the chemical composition of the stored food material. The taste of the food also varies depending on plant part, age of the plant part and the geographical location, nutritional status of the plant.
Why do all metals turn red when heated?
Materially, many of the hard metals are considered as ‘blackbodies’. All those materials that are perfect absorbers of all wavelengths of light when they are cool and emitters of all wavelengths of light when they are heated, are known as blackbodies. However, the wavelength (or colour) of the light they emit with greatest efficiency (maximum light throughput) varies with the temperature that they are heated to or maintained at.
Let us know this wavelength as ‘lambda max’. This means that a blackbody body heated to a particular temperature would appear in the colour of the lambda max wavelength because it is at that wavelength that the optical energy is emitted from the body with maximum throughput.
The ‘lambda max’ and the temperature at which the blackbody is heated to are inversely related; the hotter the black body the lower is the lambda max. This is a universal law, known as ‘Wien’s Displacement Law’ and is independent of the chemical composition and physical fabric of the solid body as long as the body behaves as a blackbody when heated.
In other words, the mathematical product of the lambda max and the absolute temperature of the body is a universal constant, known as Wien’s Constant with a value of about 2.9×10 mK when wavelength is taken in metres (m) and the temperature in Kelvin scale (K).
Accordingly, metals, behaving like blackbodies, would appear in red colour (wavelength of about 700 nanometres) when heated to about 3,800 K (or about 3,500 C).
It is on this basis (Wien’s Displacement Law) that metals turn red when heated (to about 3,500 C). It is also the reason why metal objects exposed to blacksmith’s kiln change their appearance from red to yellow via orange because of gradually raising temperature of the kiln.
Finally, it is worthwhile to know that the surface temperatures of the distant stars and heavenly bodies are estimated on the basis of the spectrometric measurement of the lambda max they emit (after accounting for the Doppler Shift). Since Sun appears yellow, its surface temperature is estimated to be about 5,500 C.
How does a flower bloom after plucking it out of the plant?
Flowers are the reproductive organs of a flowering plant. Flowering normally occurs when sufficient vegetative growth ( i.e leaves, roots) has taken place to support and feed the reproductive parts.
Flowering is influenced by photoperiod (the time of exposure to sunlight), temperature and humidity. These factors mainly influence the number of pollinators, their concentration and formation of seeds. They also decide the blooming mechanism.
Blooming is often preceded or accompanied by an increase in the soluble sugars in the petals. The receptors present in the leaves, namely phytochromes, will send the signals to direct more nutrients, carbohydrates and water to the petals.
This results in a surge in the osmotic gradient and the cells present in the petals expand on receiving more water. Cell walls get loosened and expand considerably and blooming takes place.
Flowering hormones (Florigens C and T) will rush to the bud in high proportion just before blooming. The flowering hormones include Gibberellic acid, and in some plants ethylene, IAA and cytokinins.
Inhibitors also play an important role in the blooming mechanism. These inhibitors are again controlled by photoperiod, temperature and humidity. It’s only when the inhibitor concentration falls below a critical level that buds start developing. So, when all the above conditions are satisfied blooming will happen.
Hence, only the buds that have reached appropriate maturity will bloom after we pluck them because by that time the concentration of sugars, water in their cells, florigens must have reached the required level.
Inhibitor concentration too must have fallen below the critical value. The buds too must have enough reserves of nutrients for blooming even after plucking. Exogenous application of Gibberillic acid can induce immediate flowering and blooming irrespective of photoperiod.
What are the criteria for selecting a location as launching site for satellites?
Several factors influence the choice of a launch site. It should be located away from populated areas. Since it involves moving of heavy equipment to the launch site, rail, road and/or shipping accessibility should be taken care of. Coastal areas become the preferred launch sites. Sriharikota fits all these requirements. Some of the other famous launch sites which fulfil these requirements in the world are: Kennedy site in Florida, U. S., Kourou in French Guiana, South America, San Marco in Africa and Alcantara in Brazil, South America.
Earth rotates from west to east. Man made satellites also go round the earth in the same direction (west-east). When satellites are launched towards east the satellite gains incremental velocity of the earth velocity, as it leaves the earth’s atmosphere. (If one were to launch towards west direction the satellite will lose that much velocity when it leaves the earth’s atmosphere. It calls for unnecessarily higher energy to put a satellite in that way).
Communication satellites are put into geostationary orbit above the equator with zero inclination to the equatorial plane. To achieve this the launch site should be ideally located on the equator or close to the equator. Otherwise the satellite orbit would be inclined to the equatorial plane and it has to be manoeuvred for which extra fuel is required. Also the launch site should be free of human population in and around
After a thorough survey along Andhra Pradesh and Tamil Nadu coastal regions, the founding fathers of Indian Space Programme (ISRO) selected Sriharikota (Nellore, A.P). Sriharikota (with a latitude – longitude of 13 degrees 47` N, 80 degrees 15` E) is a spindle-shaped island formed by backwaters of the Bay of Bengal having around 170 sq km area and a long coast line of about 60 km. It is mostly uninhabited.
An ideal launch site must have the following important criteria:
(a) Must be situated on a sea-coast as during the course of flight, the launch vehicle (rocket) sheds out lot of spent hardware which will impact on the earth and the maximum distance of impact (from launch site) could be even 6, 500 kms at times.
(b) It should have moderate weather conditions. As Sriharikota satisfies all the above conditions it is a preferred launch site.
What exactly is allocated in spectrum allocation?
Here the spectrum means a band of frequencies of electromagnetic waves also called as radio waves. Electromagnetic waves range from extremely low frequency to gamma rays. This includes radio waves used for communication and broadcasting purposes including satellite communications, visible region light, infrared and ultraviolet rays, X-rays and gamma rays.
Radio waves are used for communication and broadcasting. For example, FM transmissions use the frequencies from 88MHz to 108 MHz, satellite communications use 4000-6000 MHz and 11000-14000 MHz generally and so on. Mobile service providers also use the radio waves normally in the range of 900-1800 MHz.
Two operators cannot use the same frequency in the same region as there will be interference between each other and both the services will get affected. Same frequencies can be used at two different places separated by sufficient distance so that there will not be any interference. This is called space diversity.
The number of voice channels that can be supported depends on the bandwidth of the frequency spectrum allocated. Higher the bandwidth, more the number of channels that can be accommodated. This radio frequency spectrum is a limited resource and different services are allocated different frequencies.
For example, terrestrial TV transmissions use a particular band of frequencies, satellite operators use a particular band, defense personnel use a particular band, police use a particular band for wireless sets, mobile operators use a particular band so that all can operate without any interference to anybody.
As the spectrum resource is limited, a particular agency coordinates and allots the radio frequencies to different users. So basically the users are allocated a band of radio frequencies for their service and this is called spectrum. This radio frequency band is called spectrum.
The operators use these frequencies to provide service and earn revenue. As revenue earned will be high there will be competition to get frequency band and hence auction is done with some regulations.
For example, private FM operators use the FM band , provide radio service and earn revenue from the advertisements. 150KHz bandwidth is sufficient for one FM station as so many FM stations can exist in the 88-108 MHz band allotted for FM radio service.
Why does milk boil over after heating but water does not?
Water is a simple liquid which does not contain any solids (if it is, in ppm level only) and the boiling temperature is 100°C.
Milk is a compound liquid which contains fat in emulsion form, protein in colloidal state and lactose as true solution and the boiling point of milk is 100.5°C. When milk is heated, the fat which is lighter than water is collected on the surface along with certain protein in the form of a layer called cream.
During heating, the water vapour being lighter than all other ingredients in the milk will rise up. Since the surface of the milk is covered with a thin layer of cream, the water vapour gets trapped below the thin layer and layer prevents the water vapour from escaping.
When milk is heated further, the water vapour expands, pressure builds up and lifts the creamy layer up and thus the milk spills out.
But in case of water, the water vapour escapes very easily on boiling since it does not have any layer on the surface to interrupt till complete evaporation of the liquid.
Why is the hole in the ozone layer found over the Antarctica region?
In the atmosphere, some oxygen (O{-2}) molecules absorbed energy from the Sun’s ultraviolet (UV) rays and split to form single oxygen atoms.
These atoms combined with remaining oxygen (O{-2}) to form ozone (O{-3}) molecules, which are very effective at absorbing UV rays.
Ozone (about 90 per cent of it) exists in the stratosphere, in a layer between 10 and 50 km above the surface of the earth.
In the stratosphere, small amounts of ozone are constantly being made by the action of sunlight on oxygen. Ozone depleting substances are mainly alkyl halides or chlorofluorocarbons (CFC). They are used as propellants in aerosol cans, refrigerants, solvents, and fire extinguishing agents.
As they are very stable compounds, when released into the atmosphere, they are not broken down and eventually reach the stratosphere.In the stratosphere, CFCs and Halogens become irradiated by UV light, and decompose rapidly releasing Chlorine (or Bromine) which are the real ozone-killers.
The chlorine atoms react with ozone, to form oxygen and chlorine monoxide.
Chlorine monoxide then combines with another oxygen atom to form a new oxygen molecule and the chlorine continues to split thousands of more ozone molecules.
The lower stratosphere over the South pole is the coldest spot on Earth. From June to September cold winds blow around the region which prevent warmer air from entering.
Small amount of water vapour in the stratosphere freezes and forms thin clouds of ice crystals as the temperatures in the lower stratosphere drops below 80 degree Celsius.
They are called polar stratospheric clouds. These ice crystals convert safe molecules like CONO{-2} and HCl to more reactive ones like HOCl and Cl{-2}.These two compounds release Cl atoms. At polar stratospheric temperatures, this sequence is extremely fast and it dominates the ozone-destruction process.
Another step, photolysis of chlorine peroxide, requires UV light, which only becomes abundant in the lower stratosphere in the spring.
This mechanism is believed to be responsible for about 70 per cent of the Antarctic ozone loss. The arctic polar vortex is much weaker than the Antarctic, as arctic temperatures are several degrees higher, and polar stratospheric clouds are less common and tend to break up earlier in the spring.
Scientists often refer to the part of the atmosphere where ozone is most depleted as the `ozone hole’ but it is not really a hole — just a vast region of the upper atmosphere where there is less ozone than elsewhere.
How does CFCs damage the ozone layer?
CFCs contain chlorine atoms which react with ozone, O-O-O, forming a normal oxygen molecule, O-O, and a chlorine containing molecule that is still reactive. CFC molecules are stable over decades and react with each ozone molecule they contact, catalyzing a process where two O-O-O molecules become three O-O molecules.
Why is the ozone hole concentrated over Antarctica?
Ozone is a colourless gas. Chemically, it is very active and reacts readily with a number of substances. These reactions cause rubber to crack, hurt plant life, and damage people’s lung tissues. But ozone also absorbs harmful components of sunlight, “ultraviolet B”, or “UV-B, protecting living things below.
Ozone can be destroyed by a number of free radical catalysts, the most important of which are the hydroxyl radical (OH), nitric oxide radical (NO), chlorine atom (Cl) and bromine atom (Br). Human activity has dramatically increased the levels of chlorine and bromine in the atmosphere.
Each year for the past few decades during the Southern Hemisphere spring, chemical reactions involving chlorine and bromine cause ozone in the southern polar region to be destroyed rapidly and severely. This depleted region is known as the “ozone hole”. British scientists discovered this hole in 1985.
The hole in Antarctica occurs in the spring (September to December). It begins with this overall ozone thinning, but it is assisted by the presence of polar stratospheric clouds (PS clouds). During the extreme cold of winter, with no sun for six months, polar winds create a vortex which traps and chills the air; the temperature is below -80 Celsius. The ice in these PS clouds provides surfaces for the chemical reactions that destroy the ozone. This needs light to kick-start the reactions. By the end of spring warmer December temperatures break up the vortex and destroy the PS clouds. Sunlight starts creating ozone again and the hole begins to repair.
Every March to April during the Northern Hemisphere springtime similar, but less pronounced ozone hole forms above the Arctic. The natural circulation of wind, the polar vortex, is much less developed in the Northern Hemisphere above the Arctic.
What is the difference between GSLV and PSLV?
Both PSLV (Polar Satellite Launch Vehicle) and GSLV (Geosynchronous Satellite Launch Vehicle) are the satellite-launch vehicles (rockets) developed by ISRO. PSLV is designed mainly to deliver the “earth-observation” or “remote-sensing” satellites with lift-off mass of up to about 1750 Kg to Sun-Synchronous circular polar orbits of 600-900 Km altitude.
The remote sensing satellites orbit the earth from pole-to-pole (at about 98 deg orbital-plane inclination). An orbit is called sun-synchronous when the angle between the line joining the centre of the Earth and the satellite and the Sun is constant throughout the orbit.
Due to their sun-synchronism nature, these orbits are also referred to as “Low Earth Orbit (LEO)” which enables the on-board camera to take images of the earth under the same sun-illumination conditions during each of the repeated visits, the satellite makes over the same area on ground thus making the satellite useful for earth resources monitoring.
Apart from launching the remote sensing satellites to Sun-synchronous polar orbits, the PSLV is also used to launch the satellites of lower lift-off mass of up to about 1400 Kg to the elliptical Geosynchronous Transfer Orbit (GTO).
PSLV is a four-staged launch vehicle with first and third stage using solid rocket motors and second and fourth stages using liquid rocket engines. It also uses strap-on motors to augment the thrust provided by the first stage, and depending on the number of these strap-on boosters, the PSLV is classified into its various versions like core-alone version (PSLV-CA), PSLV-G or PSLV-XL variants.
The GSLV is designed mainly to deliver the communication-satellites to the highly elliptical (typically 250 x 36000 Km) Geosynchronous Transfer Orbit (GTO). The satellite in GTO is further raised to its final destination, viz., Geo-synchronous Earth orbit (GEO) of about 36000 Km altitude (and zero deg inclination on equatorial plane) by firing its in-built on-board engines.
Due to their geo-synchronous nature, the satellites in these orbits appear to remain permanently fixed in the same position in the sky, as viewed from a particular location on Earth, thus avoiding the need of a tracking ground antenna and hence are useful for the communication applications.
Two versions of the GSLV are being developed by ISRO. The first version, GSLV Mk-II, has the capability to launch satellites of lift-off mass of up to 2,500 kg to the GTO and satellites of up to 5,000 kg lift-off mass to the LEO. GSLV MK-II is a three-staged vehicle with first stage using solid rocket motor, second stage using Liquid fuel and the third stage, called Cryogenic Upper Stage, using cryogenic engine
Different flowers have different smells? Why?
Each flower or the flower family has an aroma (smell). Chemical substances in the plant species contribute to the smell of the flowers, leaves, roots or even fruits. These chemical substances are mostly low molecular weight compounds and volatile in nature so that they could easily spread, and be perceived.
Terpenes and esters are some of the commonly known chemicals that constitute the floral fragrance. However, the foul smelling flowers may have different chemicals including sulphides, amines, phenols, etc. Several compounds may occur in the same plant species and the flower smell between the plant species might vary depending on the chemical constituents and their concentration.
In pollination, the pollen grains (male part) should be transferred to the stigma (female part) of the same flower or different flowers of the same plant species. The organisms that usually get involved in pollination are known as pollinators and they could be insects, birds, etc. These pollinators are usually attracted by the smell and colour of a flower. If all the flowers produce a similar aroma, and if all the pollinators prefer all kinds of smells, there is no reproductive advantage for those flowering plants.
On the other hand, when a flower can differentiate itself from other species by its unique smell and colour, it increases its likelihood to attract more specialized pollinators that could maximize its reproductive success through enhanced pollination. It has evolved in nature through a process called ‘co-evolution’ in which a flower species and its pollinator species adapt to each other’s changes over a long period of time.
Some flowers produce a foul smell like rotting meat, because they are usually pollinated by flies and beetles. Thus, the flower smell is mainly determined by its chemical constituents, and the smell has mainly evolved to attract its preferred pollinators.
What is dark energy?
Dark energy which is said to exist but scientists know very little details of it. About 14 to 15 billion years ago, when the Big Bang happened, the universe came into existence. The matter formed from huge energy started expanding due to outward force of the Big bang. From the theory of gravity postulated by Einstein, the particles having mass should attract each other and the expansion of the Universe should stop at one point of time.
However from the observations made by the astronomers, it appeared that the rate of expansion has increased after about 7 billion years. This shows that some other force is acting against the gravity which is forcing the expansion of universe instead of contraction. Scientists gave name to this unknown force as the ‘dark energy’.
It is interesting to know that what we see as the matter in the universe in the form of stars, planets, clouds of dust, only forms about 5 per cent of the universe’ mass, rest being dark energy (about 68 per cent) and dark matter (about. 27 per cent).
Drinking soda helps us during indigestion. How?
Soda water or carbonated water is water in to which low levels of pressurized carbon dioxide has been dissolved, creating carbonic acid. The intake of soda water helps those with impaired digestion. Soda water causes bloating, which stretches the stomach. Mechanoreceptors in the stomach detect the stretching resulting in parasympathetic innervations to gastrointestinal (GI) smooth muscles. This results in an increase in GI motility.
Researchers have found that people who drank at least 1.5 L of carbonated water every day for 15- 30 days had a big amelioration in their indigestion and constipation compared to people who drank regular tap water. All carbon dioxide in soda water does not reach the stomach. Much is lost in the fizz when the bottle is opened, and some combines with swallowed air to cause belching and small amount is rapidly absorbed through the wall of the GI system.
Since soda water is a liquid, it easily passes down the oesophagus and the lower oesophageal sphincter relaxes and opens to allow its entrance into the stomach. The upper part of stomach relaxes to store the swallowed soda water. The digestive glands in the stomach lining produce hydrochloric acid, containing pepsin. Stomach mixes the digestive juices with soda water. Upon reaching the small intestine, soda water mixes with secretions produced by the pancreas and liver.
When the stomach is empty, soda water passes rapidly in to the duodenum where carbon dioxide is transformed into bicarbonate. The carbon dioxide dissolved is rapidly released in gaseous form as the fluid is warmed. The free carbon dioxide may be belched if the expanding gas increases the pressure and stimulates the gastric fundus, triggering the belching mechanism. Distention of gastric fundus can increase transient lower oesophageal sphincter relaxation. If the soda water is taken while or after eating it tends to localize in the upper part of stomach and will produce feeling of fullness. Hence, carbonated water seems to influence stomach function by both mechanical and chemical effects.
Why do we laugh when we are tickled?
Touch is an extremely powerful thing. Humans clearly respond to touch, both physically and emotionally. Some areas on our bodies are more sensitive than others, however. Laughing when tickled in our sensitive spots (under the arms, near the throat and under our feet) could be a defensive mechanism.
Beneath your skin lie millions of tiny nerve endings that alert the brain to all manner of touch. When these nerve endings are lightly stimulated — for example, by another person’s fingers or by a feather — they send a message through your nervous system to your brain, which analyzes the message. Using functional magnetic resonance imaging machines (fMRI), researchers have determined that the effect of a light touch that results in a tickling sensation is the result of the analysis of two regions of the brain.
The somatosensory cortex is responsible for analysing touch; for example, the pressure associated with it. The signal sent from the skin’s sensory receptors also passes through the anterior cingulated cortex, which governs pleasant feelings. Together, these two create the tickle sensation. Therefore, when we are tickled the somatosensory cortex picks up the signals to do with pressure, but the anterior cingulated cortex also analyses the signals which leads to pleasurable feelings.
We laugh when we’re tickled because both tickling and laughing activate the Rolandic operculum — a part of the brain that controls facial movement, vocal, and emotional reactions. Furthermore, the laughter from being tickled is part of a defence mechanism to signal submissiveness and the researchers believe that our responses to tickling date back to man’s earliest evolution and developing self-awareness.
The atmosphere contains several gases. A person inhales that combination but how is the oxygen differentiated from that in our respiratory system?
We inhale oxygen, carbon dioxide and nitrogen and also exhale the same gases, though in different proportions to inhalation; that is, oxygen is exchanged for carbon dioxide during breathing.
When inhaling, we take in approximately 21 per cent oxygen, 0.04 per cent carbon dioxide and 79 per cent nitrogen. On exhalation, we give off approximately 16 per cent oxygen, 4 per cent carbon dioxide and 79 per cent nitrogen; only the amount of nitrogen remains constant in the exchange. Exhaled air also contains water vapour. The inhaled air reaches lungs and enters alveoli where oxygen diffuses out from alveoli into blood, which enters into lungs via pulmonary capillaries, and carbon dioxide diffuses into alveoli from blood.
This diffusion happens because of partial pressure difference between oxygen and carbon dioxide in blood and alveoli.
In alveoli, partial pressure of oxygen is relatively higher than that of carbon dioxide whereas, in the blood which enters back in to the lungs, partial pressure of carbon dioxide is higher than that of oxygen.
Carbon dioxide entered into the alveoli by diffusion is exhaled by lungs while we breathe out.
For our body cells to perform various functions, they need energy, and this energy is generated by producing ATP molecules via burning fuel molecules such as carbohydrates using oxygen.
The byproduct of this reaction is carbon dioxide. So in the body cells, partial pressure of carbon dioxide is higher than oxygen. When oxygen rich blood reaches body cells by systemic circulation, because of partial pressure gradient, oxygen will diffuse into the body cells and carbon dioxide which is at higher pressure will diffuse into blood.
The carbon dioxide rich blood returns to the heart (right atrium) and then pumped into lungs. In the lungs, carbon dioxide is exhaled. This process is a cycle and oxygen is taken up and carbon dioxide is released out continuously in our body.
It is general concept that carbon dioxide is bad for the body. It is not so. Carbon dioxide plays one of the most significant roles in body health and well-being. Carbon dioxide regulates the distribution of oxygen in the body. It is also the body’s relaxer. CO is the body’s way of dilating the arteries, especially those in the brain, the heart and the periphery (hands and feet).
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- India’s telecom market has seen monopoly as well as hyper-competition.
- Twenty-five years ago, the government alone could provide services.
- Ten years later, there were nearly a dozen competing operators.
- Most service areas now have four players.
- The erstwhile monopolies, BSNL and MTNL, are now bit players and often ignored.
- India is ranked second globally—after China—in the number of people connected to the internet. However, it is also first in the number of people unconnected.
- Over 50% of Indians are not connected to the internet, despite giant strides in network reach and capacity.
- India’s per capita or device data usage is low. It has an impressive 4G mobile network. However, its fixed network—wireline or optical fibre—is sparse and often poor.
- 5G deployment has yet to start and will be expensive.
Context
Sunil Mittal, the chairman of Bharti Airtel, said recently that it would be “tragic” if India’s telecom-access market was to be reduced to only two competing operators. He was probably referring to the possible exit of the financially-stressed Vodafone Idea and the increasing irrelevance of government-owned operators, BSNL and MTNL. This would essentially leave the market to Reliance Jio and Airtel. A looming duopoly, or the exit of a global telecommunications major, are both worrying. They deserve a careful and creative response.
[wptelegram-join-channel link=”https://t.me/s/upsctree” text=”Join @upsctree on Telegram”]Thus Far
The reduced competition is worrying. Competition has delivered relatively low prices, advanced technologies, and an acceptable quality of services. These gains are now at risk. There is a long way to go in expanding access as well as network capacity.
The Indian Telecom Irony
Vodafone Tragedy
Filling the gaps in infrastructure and access will require large investments and competition. The exit of Vodafone Idea will hurt both objectives. The company faces an existential crisis since it was hit hardest by the Supreme Court judgment on the AGR issue in 2019, with an estimated liability of Rs 58,000 crore.
The closure of Vodafone Idea is an arguably greater concern than the fading role of BSNL and MTNL. The government companies are yet to deploy 4G and have become progressively less competitive. Vodafone Idea, on the other hand, still accounts for about a quarter of subscriptions and revenues and can boast of a quality network.
It has been adjudged the fastest, for three consecutive quarters, by Ookla, a web-service that monitors internet metrics. India can ill-afford to waste such network capacity. The company’s liabilities will deter any potential buyer.
Vodafone+MTNL+BSNL ?
A possible way out could be to combine the resources of the MTNL and BSNL and Vodafone Idea through a strategic partnership. Creative government action can save Vodafone Idea as well as improve the competitiveness of BSNL and MTNL.
It could help secure government dues, investment, and jobs. It is worth recalling here that, about 30 years ago, the Australian government’s conditions for the entry of its first private operator, Optus, required the latter to take over the loss-making government satellite company, Aussat. Similar out-of-the-box thinking may well be key to escape the looming collateral damage.
It is not trivial to expand competition in India’s telecom market. Especially since there are no major regulatory barriers to entry anymore. Any new private player will be driven largely by commercial considerations. Global experience suggests that well-entrenched incumbents have massive advantages. New players are daunted by the large investments—and much patience!—needed to set up networks, lure existing customers and sign new ones.
However, regulators and policymakers have other options to expand choice for telecom consumers. Their counterparts in mature regulatory regimes—e.g., in the European Union—have helped develop extensive markets for resale. Recognising the limited influence of smaller players, regulators mandate that the incumbent offer wholesale prices to resellers who then expand choice for end-users.
This has been virtually impossible in India. There is a near absence of noteworthy virtual network operators (VNOs) and other resellers. A key barrier to resale is India’s licence fee regime which requires licence-holders to share a proportion of their revenues with the government. Thus, resale could hurt exchequer revenues unless resellers are subject to identical levies. Understandably, the levies—and consequently additional reporting and compliance—is a disincentive for smaller players. The disincentive flows from levies based on revenues which comes with considerable costs of compliance. It would almost vanish if the levies were replaced by say, a flat fee computed objectively.
The ball is in the court of the regulator and the government. They have options. But will they take decisive action to exercise them? It will be ‘tragic’ if they can’t.
INTRODUCTION
Since most of the early scholars, researchers and historians were men, many aspects of society did not find a place in history books. For example, child-birth, menstruation, women’s work, transgenders, households etc. did not find much mention.
[wptelegram-join-channel link=”https://t.me/s/upsctree” text=”Join @upsctree on Telegram”]Rather than building a holistic picture of the past, some select aspects such as polity and the different roles of men became the central focus of history writing. Women were confined to one corner of the chapter where a paragraph or two was devoted to the ‘status and position of women’.
Even the details of these paragraphs were hardly different from each other. This made it look like as if history (and thereby society, polity, economy and all culture) belonged to men while women were only a small static unit to be mentioned separately. Of course, there were some exceptions, but these were however rare. This practice is being corrected now and the roles and presence of women are being read into all parts of historical questions.
SOURCES FOR UNDERSTANDING GENDER HISTORY
Sources are the bases of history writing. From simple pre-historic tools to abstruse texts, everything can be utilized to understand life and roles of women in history. The presence as well as the absence of women from sources needs to be duly noticed, deliberated and argued upon and only then to be theorised upon.
Certain objects being directly related to the lives of women or depicting the ideas of the female principle are of central importance. These include but are not limited to female figurines, art objects, texts attributed to or authored or compiled by women, monuments created by or for women, various objects relating to their lifestyle, objects associated with women on account of their cultural roles and so on.
It has been rightly pointed out by Uma Chakravarti that much of the gender history written in early phase was a ‘partial view from above’. This referred to the utilization of select textual sources and focused only on relational identity of women. There were, however, a few exceptions.
GENDER HISTORIOGRAPHY
Amongst the many narratives propagated to denigrate Indian civilization and culture by the British colonial rulers, the condition of Indian women became a point of central reference. Various social evils that made the life of women miserable were pointed out and efforts were also made to introduce ‘reforms.’ Sati, child-marriages, imposed widowhood, polygamy, dowry, educational and economic inequality, purdah (ghoonghat) and many other practices prevailed during the colonial period that made the life of women difficult and pitiable.
Some practices affected women of higher social and economic households while others led to misery for poorer women. Many social reform movements were started in the 19th century to address these issues and contributions were made by Indian reformers as well as British officials and other Europeans.
Women in India came to be treated as a homogeneous category and over generalisation became the norm. While many communities in India practised widow remarriage and did not practise (much less forced) sati and while some practised divorces or separation, the image of the Indian woman who had been subjugated as woman, wife and widow became a dominant theme in history writing.
Secondly, a western vision was placed over the non-western societies and hence interpretations were far removed from the context. For example, notion of stridhan was equated with dowry and little regard was paid to the provisions regarding its use and ownership by women.
The huge social stigma that came along with the selling of jewellery of the household (one of the main components of stridhan) was paid no attention to. Similarly, penal provisions listed by ancient texts for misappropriation of women’s property were not even looked into.
During the Paleolithic age, hunting and gathering was norm. However much importance was given to Hunting than gathering in all literature of history. Studies, however, show that hunted prey formed only 35% of the diet while gathering fruits and other edible material supplied the major portion. Gathering of food resources was ordinarily done by women. Since gathering was an important activity, more than hunting for game, it could point to significant role playing by women.
The gendered understanding of Harappan civilization is being built upon and various archaeological remains have been studied in this respect. The female figurines, idols of pregnant women, the statue of the ‘dancing girl’, various pieces of jewellery and personal belongings that have been discovered at various sites and offer useful insights on the public and private lives of women and men.
The statue of a girl obtained from Mohanjodaro has been called a ‘dancing girl’ on grounds of familiarity with the institution of devadasis in the later times. Such backward looking explanations are problematic.
There is a wide variety of terracotta female figurines that have been found at different sites right from the pre-Harappan times. Women figures are found suckling a baby, holding utensils, kneading dough, nursing infants, carrying objects like drums, seated figures for board games, with steatopygia (fat deposition on the hips and elsewhere), with floral head-dresses and in many other forms.
Even figurines of pregnant women are quite common. However, most of these have been uncritically associated with fertility, religiosity and reproductive ideas, and have been passed off as representations of the Mother Goddesses. While some of them were votive objects, others are held to be toys or other utilities. The focus on female form has been so stereotypical that women have been seen as associated only with home, hearth, fertility, sexuality and divinity. So much so that sometimes even male figurines in assumed womanly roles were classified as female figurines.
POSITION OF WOMEN IN EARLY INDIA
The first literary tradition in the Indian subcontinent (and the oldest in the world) is that of the Vedic corpus. From the four Samhitas to the Upanishads, we find many interesting references to women in various roles. Some of these women have left their mark on the cultural heritage to this day and are remembered in various ritual and social contexts. Their names, stories, some highly revered hymns, and other interesting facets are mentioned in the Vedic corpus.
The Vedic literature has been classified as Early Vedic and Later Vedic. The Rigvedic society and polity seems to be teeming with life and agro-pastoral economy was enmeshed in close kinship ties. Women as well as men participated in society, economy and polity. Some of the most revered hymns including the gayatri mantra are ascribed to women.
Various natural phenomena are depicted as Goddesses and they are offered prayers. While quantitative analysis highlights the predominance of Indra, Agni, Varuna and other male gods, the power and stature of the goddesses is equally well established.
Women participated in all three Vedic socio-political assemblies viz. Sabha, Samiti and Vidhata. They had access to education and were even engaged in knowledge creation. They could choose to be brahmavadinis with or without matrimony.
Hence, there is no reason to believe that they were only confined to home and hearth. T. S. Rukmani attempts to understand if women had agency in early India. Her work has highlighted many interesting details. The author acknowledges the fact that though the patriarchal set up put women at a loss, there were instances where women found space to exercise their agency.
She points out that though the texts like the Kalpasutras (Srautasutras, Dharmasutras and Grhasutras) revolved around the ideology of Dharma and there was not much space to express alternative ideas, still these works also find some leeway to express ideas reflecting changed conditions.
For example, there is a statement in the Apastamba Dharmasutra that one should follow what women say in the funeral samskaras. Stephanie Jamison believes that in hospitality and exchange relations, women played an important role. She says that the approval of the wife was important in the successful completion of the soma sacrifice. In another study it has been shown that women enjoyed agency in deciding what was given in a sacrifice, bhiksha to a sanyasin. The men had no authority in telling her what to do in these circumstances.
Vedic society was the one which valued marriage immensely. In such contexts, Gender Perspectives if a woman chose not to marry, then it would point to her exercising choice in her decision to go against the grain and remain unmarried.
Mention may be made of Gargi. She was a composer of hymns and has been called a brahmavadini. This term applies to a woman who was a composer of hymns and chose to remain unmarried, devoting herself to the pursuit of learning.
Similarly, in the case of Maitreyi, she consciously opts to be educated in the Upanishadic lore and Yajnavalkya does not dissuade her from exercising her choice.
The statement in the Rigveda that learned daughters should marry learned bridegrooms indicates that women had a say in marriage. Though male offspring is desired, there is a mantra in the Rigveda, recitation of which ensures the birth of a learned daughter.
Altekar refers to the yajnas like seethayagna, rudrayajna etc. that were to be performed exclusively by women. Some of the women were known for their exceptional calibre, for example, from the Rigveda Samhita we find mention of women like Apala, Ghosha, Lopamudra, Gargi, Maitreyi, Shachi, Vishwavara Atri, Sulabha and others.
Women have not only been praised as independent individuals but also with reference to their contributions towards their natal or marital families.
The Later Vedic literature shows the progression towards a State society with a change in the organization of the society and polity. The chief comes to be referred to as bhupati instead of gopati. However, within the twelve important positions (ratnis) mentioned, the chief queen retains a special position under the title mahisi.
The importance of the chief queen continued as gleaned from several references to them in the Epics, Arthashastra and even in coins and epigraphs from early historical times.
The other Samhitas also refer to women sages such as Rishikas. The wife is referred to as sahadharmini. Brahmanas or the texts dealing with the performance of the yajna (Vedic ritual), requires a man to be accompanied by his wife to be able to carry out rituals.
For example, Aitareya Brahmana looks upon the wife as essential to spiritual wholesomeness of the husband. However, there is a mention of some problematic institutions as well.
Uma Chakravarti has pointed towards the condition of Vedic Dasis (female servant/slave) who are referred to in numerous instances. They were the objects of dana (donation/gift) and dakshina (fee).
It is generally believed that from the post Vedic period the condition of the women steadily deteriorated. However, Panini’s Ashtadhyayi and subsequent grammatical literature speak highly of women acharyas and Upadhyayas.
Thus, the memory and practice of a brahmavadini continued even after the Vedic period. The Ramayana, Mahabharata and even the Puranas keep the memory of brhamavadini alive.
Mention may be made of Anasuya, Kunti, Damyanti, Draupadi, Gandhari, Rukmini who continued to fire the imagination of the poets. Texts show that the daughter of Kuni-garga refused marriage because she did not find anyone worthy of her.
The Epics also mention women whose opinions were sought in major events. For example, after the thirteen years of exile, while debating upon the future course of action regarding the restoration of their share, the Pandavas along with Krshna asks Draupadi for her views. Similarly, when Krishna goes to the Kaurava’s court to plead the case of Pandavas, Gandhari is called upon to persuade her sons to listen to reason.
Since a woman taking sanyasa was an act of transgression, one can explore women’s agency through such instances. In the Ramayana, Sabari, who was the disciple of Sage Matanga, and whose hermitage was on the banks of river Pampa was one such sanyasin.
Such women find mention in Smriti literature and Arthashashtra. Kautilya’s prohibition against initiating women into Sanyasa can make sense only if women were being initiated into sanyasa. He advises the king to employ female parivrajakas as spies.
Megasthenes mentions women who accompanied their husbands to the forest, probably referring to the Vanaprastha stage. Another category of literature called Shastras that comprises of sutras (aphorisms) and the smriti texts (‘that which is remembered’) becomes important in the postVedic period.
These textual traditions cover many subjects relating to the four kinds of pursuits of life referred to as purusharthas (namely dharma, karma, kama and moksha). In all these texts we find very liberal values and freedom for both women and men.
The setting up of a household is seen as an ideal for men as well as women (though asceticism for learning is equally praised for both). For example, Apastambha Sutra opines that rituals carried out by an unmarried man do not please the devatas (divinities). Similarly, Manusmriti provides that ‘for three years shall a girl wait after the onset of her puberty; after that time, she may find for herself a husband of equal status. If a woman who has not been given in marriage finds a husband on her own, she does not incur any sin, and neither does the man she finds’
Thus, we see that women enjoyed choice in matters of matrimony. It is interesting to note that unmarried daughters were to be provided for by the father. In fact, daughter is stated to be the object of utmost affection. Should a girl lose her parents, her economic interests were well looked after. It was provided that from their shares, ‘the brothers shall give individually to the unmarried girls, one-quarter from the share of each. Those unwilling to give will become outcastes’
With regards to defining contemporary attitude towards women, Apastambha Sutra prescribed that ‘All must make a way for a woman when she is treading a path.’ Later Dharmashastra also makes similar statements.
Yagnavalkyasmriti mentions that ‘women are the embodiment of all divine virtues on earth.’ However, there are several provisions that look problematic.
On one hand, we have reverence assigned to the feminine (divine and worldly) and important roles being played by them, on the other hand we have questionable provisions and descriptions like right to chastise them through beating or discarding.
The post-Vedic phase from 6th century BCE onwards is also rich in literary traditions with ample depictions of women. Interestingly, we have an entire body of literature that is ascribed totally to women who became Buddhist nuns. These are referred to as Therigathas i.e. the Songs of the Elder Bhikkhunis (Buddhist Women who joined the Sangha).
The Arthashastra Gender Perspectives gives us information on women who were engaged in economic activities of various kinds. They formed a part of both the skilled and the unskilled workforce. They were into professional as well as non-professional employment.
Some of their vocations were related to their gender, while the others were not. There were female state employees as well as independent working women. Similarly, some of them were engaged in activities which though not dependent on their biological constitution are nonetheless categorized as women’s domain, e.g. domestic services etc. Some of them were actual state employees, while some others were in contractual relations with the State. For example, we have female bodyguards and spies in the State employment.
Jaiswal suggests that these women perhaps came from Bhila or Kirata tribe. Female spies were not only to gather information and relay it to proper source, but also to carry out assassinations. However, a closer look at the text shows that there were different classes of female spies engaged for different purposes. Amongst others ‘women skilled in arts were to be employed as spies living inside their houses’. Others were required to work as assassins. Some were to the play the roles of young and beautiful widows to tempt the lust of greedy enemy.
We also have various Buddhist and Jaina traditions giving us some glimpses of the ideas and institutions of the times. Apart from the orthodox (Vedic and Brahmanic) and heterodox normative tradition we have many popular texts like the Epics in Sanskrit and Jatakas in Pali.
Even Prakrit language has many interesting narratives and poetic texts. The Therigatha by the Buddhist nuns are an interesting literary source that provides us with a glimpse of various women who attained arhantship or similar other stages of Realisation.
The deliberation on the age and deterioration of the body by Ambapali, the non-importance of sensual or bodily pleasures by Nanda, Vimla and Shubha etc points towards the intellectual and spiritual engagements and attainments of women.
It is interesting to note that an absolutely contrary picture is presented by the Jatakas wherein more often than not, women are depicted as evil. It is important to note that women were given an evil aura mostly in their roles as wives or beloveds.
Both the texts and the archaeological remains have been studied by various scholars and opposing interpretations are not rare. For example, on one side Sita (from Ramayana) and Draupadi (from Mahabharata) have been seen as victims of the patriarchal order; on the other hand, they are also represented as selfwilled women.
Draupadi after the game of dice presents herself as a forceful and articulate woman. It’s her wit that saves her husbands from becoming slaves of the Kauravas. Her incensed outrage at the attack on her modesty, her bitter lamentations to Krishna, her furious tirade against Yudhishthira for his seeming inability to defend her honour and many more such instances show her to be an aggressive woman. This persona is juxtaposed to her representations as an ideal wife elsewhere. However, Draupadi is never idealised as a perfect wife who endures the most severe trials without complaint. This honour is reserved for Sita in the Ramayana. She is also presented as a victim like Draupadi and voices her concern at her fate openly. However, her aggression is directed inwards as indicated by her action against the self which culminate in her union with the mother Earth.
Are the limited number of hymns ascribed to the Vedic women a signifier of their general status? Are the goddesses merely representational with no connection to the ideas and behaviour towards women? Did only princesses choose their spouses? Are the warrior women an exception? Such searching questions need to be addressed with due diligence.
While women studies are a good development there is a need to expand the horizons to include other varieties of human existence. We have narratives of fluid sexuality in various texts. The one year of Arjuna’s life spent as Brihallana and rebirth of Amba as Shikhandi are some interesting instances. The artefacts found at the site of Sheri Khan Tarakai include visibly hermaphroditic figurines. There is a need to understand the notions of the feminine, masculine, neuter, and other forms of gender and sexual identities. These will have ramifications for understanding the ideas of conjugality, family, community, society and even polity and spirituality.
CONCLUSION
Human civilisations were built by men as well as women, however, history writing has a huge male-bias. Women were confined to questions of status and position that were largely evaluated in terms of their roles in the domestic sphere.
Their treatment as wives and widows became a central focus of most research alongside their place in ritual or religious context. This made them peripheral to mainstream history. This was questioned by various scholars from time to time and led to the development of gendered understanding of history. Focusing attention on women’s history helps to rectify the method which sees women as a monolithic homogeneous category. Writing gender history has helped in building an image of the past that is wholesome and nuanced.