Tuesday 11 December 2012

(EN) Southern comfort...?

Ugly Map of European Unemployment

The Swedish economics blog Flute Thoughts has posted this map of 2011 employment by region in Europe:

[I first saw this as a cross-post in Zerohedge].  This map calls attention to the differences between the “core” and “periphery”. On a country-by-country basis, usually the “core” is seen as France and Germany, maybe a few others such as the Netherlands and Austria. However, as Flute points out,  northern Italy looks more like Germany than like southern Italy, and France looks somewhat “peripheral.”  In general, if you speak some Germanic language (e.g. German, Dutch, English, or a Norse tongue) you are more likely to have a job.  Greece and Spain are employment disaster zones, along with parts of Eastern Europe and the Baltics. It seems like the non-eurozone regions (e.g. UK, Norway, Czech Republic) are faring relatively well.
As we have described here and here, adoption of the euro has been disastrous for the peripheral countries.  Before then, they had available the safety valve of currency devaluation to manage imports and exports. The propect of devaluation also tempered the willingness of foreign creditors to buy the bonds of these countries.  When these peripheral countries had control of their own currencies, it was difficult to refuse the demands of workers for ever-increasing wages, since the workers knew that more money could always be printed, and indeed was expected to be printed.
One philosophical driver behind the euro was that it would impose greater financial discipline on the Mediterranean countries.  The expectation was that they would restrain wage hikes and public employment and boost productivity; in short, start acting more like Germans.
This expectation was not fulfilled. The availability of euro credit at the low interest rates traditionally associated with the German mark led to a binge of government borrowing and spending in Greece, and private borrowing and homebuilding in Spain and Ireland. Also, at the time of conversion to the euro, the Greek drachma was probably valued too highly, which gave the Greeks too-high starting wages, so they bought a lot of BMWs.  Now, at last, financial austerity is being imposed on the Greeks. However, it seems unlikely that Greece will ever be able to repay its external debts; many young, talented Greeks with no hope of employment at home are simply leaving the country, further tarnishing the prospects for a Greek recovery.
Meanwhile, the Germans acted like Germans, continously improving productivity and keeping labor costs under control. As a result, their labor cost of production is something like 30% lower than e.g. in Spain or Italy, even though Germans do not work longer hours.  So the euro experiment has been great for Germany: using the euro rather than their own mark has kept their currency relatively weak, which has aided their export-oriented economy. Hence, jobs.
There are some factors that are unique to specific countries. In Ireland, for instance, neither the goverment nor business nor workers were profligate. Ireland suffered a housing boom and bust similar to the U.S. in 2008, which the threatened the solvency of Irish and other European banks. Rightly or wrongly, instead of just letting the banks go bust, the Irish government decided that the Irish taxpayer would backstop the banks, so the Irish goverment had to borrow billions of euros.
For the last two or three years, it has continually seemed like the eurozone was about to implode, but the Europeans have done an amazing job kicking the can down the road.   In the past two years we have been treated to a long series of  press conferences between German and French leaders Merkel and Sarkozy, and more recently, strident announcements from the European Central Bank’s Mario Draghi, which keep perking up sagging markets.  What the markets crave is some form of euro printing by the ECB, in the form of unlimited purchase of (say) Greek or Spanish bonds by the ECB.   Direct purchase of the bonds of a member state is forbidden to the ECB, but as far as I can tell the ECB has found effective ways to indirectly fund the shaky countries to date. To be continued…

Monday 10 December 2012

(EN) The Big Smoke




  • London Underground's history


  • Peter Watts

  • The tube is an engineering marvel: 150 years in the making, with 253 miles of passageway snaking under the capital, carrying millions of people every day. It's crowded, uncomfortable and expensive - but it defined London. And it's ours. Time Out champions one of the true wonders of the Western World, and pioneers who built it
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    Commuters at Leytonstone staton around 1900 Image courtesy London Transport Museum (www.ltmuseum.co.uk) © Transport For London
    It was, on the face of it, a stupid idea. Running trains, and steam trains at that, in tunnels underneath the London streets. In 1862, the Times described it as an ‘insult to common sense’ and it was probably right. But the London Underground turned out to be one of the great engineering feats of modern times, the world’s only steam-driven underground railway and the first electrified underground railway. A socially egalitarian and liberating phenomenon, it helped drive London’s rapid expansion and got people to work on time, while providing the city with a bold new identity through impeccable branding that incorporated iconic typography, cartography and architecture.

    And yet… And yet… Feature continues
    Advertisement

    It’s fair to say that the Underground remains unloved by Londoners, and it would take a more dishonest contrarian than I to defend the grime, the delays, the heat, the way it’s so busy and unreliable and the fact that, year after year, we are asked to pay more for a service that doesn’t seem to be getting any better, cleaner, quicker or cooler. But that’s a fault of management and decades of underinvestment, not of a system that remains something Londoners should treasure as remarkable, groundbreaking and emphatically ours.


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    West Brompton Underground station in 1876. Image courtesy London Transport Museum (www.ltmuseum.co.uk) © Transport For London
    The story began with Charles Pearson, the first in a succession of underground visionaries. It was he who first proposed the notion of ‘trains in drains’ in 1845, when the railway was a relatively new invention (the first steam passenger service only opened in 1830). Pearson, instrumental in the removal of the anti-Catholic inscription on the foot of the Monument, was a progressive and a pioneer – his persistence helped persuade the House of Commons to approve a bill in 1853 to build a subterranean railway between Paddington and Farringdon.

    The reason such a hare-brained, experimental scheme received approval was one of necessity. London roads were suffering from terrible overcrowding and the mainline railways all stopped on the fringes of the West End and City thanks to a Royal Commission of 1846 that declared central London a no-go area for railway companies. A method of linking the mainline stations of Paddington, Euston and King’s Cross was needed, and Pearson’s plan fitted the bill. He helped raise the finance from private investors and the City of London, and excavation began in 1860, with a shallow trench dug beneath Euston Road and then covered over. Thousands of poor residents were displaced in the process.

    The Metropolitan Line opened for business on January 10 1863, clocking 30,000 passengers on the first day. A celebratory banquet had been held the previous day at Farringdon. Pearson was not among the guests, having passed away the previous year. Another absentee was Prime Minister Lord Palmerston, who was approaching his 80th birthday, and said he wanted to spend as much time above ground as he possibly could (he died two years later).
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    Park Royal's rudimentary station in 1907 Image courtesy London Transport Museum (www.ltmuseum.co.uk) © Transport For London
    The Metropolitan was a success, with 11.8 million passengers (the population of London was about 3.2 million) braving the foul, smoke-filled conditions in its first year. The Metropolitan’s owners claimed the ‘invigorating’ atmosphere ‘provided a sort of health resort for people who suffered from asthma’, but they also allowed drivers to grow beards in a futile bid to filter out the worst of the fumes. A civil servant who had spent time in Sudan said the smell reminded him of a ‘crocodile’s breath’. One attempt to improve conditions saw smoking banned, until an MP objected and insisted that all railways provided a smoking carriage. Smoking was not banned again on the trains until 1985, and at stations until after the King’s Cross fire of 1987, itself the culmination of 30 years of neglect.

    Among those to benefit most from the new railway were the lowest-paid workers, who were entitled to use a special, cheap pre-6am train. Social journalist Henry Mayhew interviewed some such passengers in 1865, first explaining that ‘this subterranean method of locomotion had always struck us as being the most thoroughly Cockney element of all within the wide range of Cocaigne’. The labourers he spoke to all voiced their enthusiasm for a service that allowed poorer Londoners to live further out, sparing them a six-mile walk to work and allowing their families to live in two rooms rather than one. As the Metropolitan expanded westwards, it opened up new areas for Londoners to move to, and the overcrowded city d slowly started to expand – one of the reasons that London still has such a relatively low population density. When Hammersmith received its first station in 1864 it was still a village ‘best known for spinach and strawberries’, writes Christian Wolmar in his definitive ‘The Subterranean Railway’ (2004), but it soon became a major interchange. This pattern was repeated throughout the Underground’s history. When the Northern Line hit Morden in 1926, it was a village of 1,000 inhabitants; five years later, its population was 12,600.

     
  • The success of the Metropolitan led to the building of the District Line along the Victoria Embankment, and then the creation of a Circle Line to link the two. Unfortunately, the two east-west lines were run by rivals, James Forbes and Edward Watkin, whose perpetual bickering meant the Circle took twenty years to complete. When it was finished in 1884, Watkins’ Met operated trains that ran clockwise, while Forbes’ District controlled those in the other direction; such was the antagonism between the two, the companies refused to sell tickets for their rival line, meaning a passenger might end up paying for 20 stops rather than seven. When the Circle was finally electrified in 1905 the companies used different systems which proved incompatible, resulting in a further three-month delay. Because the Underground was built haphazardly by private investment and with no central planning, there were many such inconsistencies. Some destinations had more than one station, built by competing interests, which explains why there is such a poor interchange at Hammersmith between the Hammersmith & City and District Lines, and why Oxford Circus has two different surface stations on either side of Argyll Street. This is also why there are so many ghost stations on the network – about 40 – built without adequate knowledge of whether they were actually needed.
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    The entrance to Finsbury Park station in 1909 Image courtesy London Transport Museum (www.ltmuseum.co.uk) © Transport For London
    The completion of the Circle Line marked the last of the sub-surface lines, built by the simple, cut-and-cover method. Advances in tunnelling and the use of electrified rails now allowed for the building of deep-level lines that gave birth to the phrase ‘tube’ and allowed London’s network to really connect the dots beneath the capital. The first was the cramped City & South London line from City to the Elephant & Castle, later incorporated into the Northern Line, which was opened in 1890 by the future king Edward VII. This was followed by the Waterloo & City, Central, Bakerloo, Piccadilly and Charing Cross, Euston and Hampstead (now the Charing Cross branch of the Northern), all before 1907.

    This splurge of lines occurred within a narrow window of opportunity after the invention of suitable tunnelling technology and before the appearance of the motorised bus. It was aided by gullible investors (who never quite received the returns they were promised), public demand and London’s favourable geological conditions – the capital’s clay being an ideal substance through which to tunnel.

    The last four of these lines were built by American financier Charles Tyson Yerkes, who also controlled the District and was the first person to attempt to realise a unified vision of London’s chaotic underground network. A property speculator with a questionable reputation (he served time in prison in Philadelphia for embezzlement) Yerkes put together numerous complex financial schemes to get his lines built, often using capital from the States, but never got the chance to cash in on his success, dying in 1905.
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    The Circle Line platform at Notting Hill in 1919 Image courtesy London Transport Museum (www.ltmuseum.co.uk) © Transport For London
    Yerkes left an extraordinary legacy. While lines such as City & South London never proved popular with the public – something that had much to do with the fact that the trains, or ‘padded cells’, were built without windows because the manufacturers figured there was nothing to see down there – his Central Line was a hit. This was largely because, like the Metropolitan half a century before, it served major transport routes, relieving strain on crowded streets above. There were drawbacks – the line followed the road pattern because the tunnellers didn’t want to pay compensation to surface landowners, so there were unnecessary kinks – but the Central Line was a groundbreaking service, attracting 100,000 passengers daily. For a start, it only had one class of travel, and one price, hence the nickname the d d Twopenny Tube. It also had some innovative engineering aspects (each station was built atop a slight incline, meaning trains naturally slowed when entering stations and sped up when leaving, while the flat face of the train pushing air in front of it provided much-need ventilation) and carriages were considerably plusher than on the City & South London. Yerkes’ desire for a unified service also led to the introduction of what can be seen as the first attempt at branding on the tube – the Leslie Green-designed distinctive dried-blood-coloured tiles of the surface stations – something pursued by the man who followed.

    Frank Pick began working for Yerkes’ Underground Electric Railway Limited (UERL), which owned all the underground lines other than the Metropolitan and the Waterloo & City, in 1906. Over the next 30 years, in partnership with Lord Ashfield, general manager of UERL and future chairman of London Transport, he helped make the tube the ‘most famous and respected transport system in the world’. Historian Nikolaus Pevsner believes Pick’s accomplishments to be greater still: in 1942 he described him as ‘the greatest patron of the arts whom this century has so far produced in England and indeed the ideal patron of our age’. He is certainly one of the few transport gurus to have met Stalin, Hitler and Churchill.

  • Pick’s reputation was based on his eye for design. He introduced the roundel, borrowed from the London General Omnibus Company, but made famous by the tube; he asked calligrapher Edward Johnston to design the tube’s unique font; commissioned beautiful posters by Man Ray, Graham Sutherland and Edward Nash; introduced each line’s distinctive patterned seat-covers or moquettes; appointed architect Charles Holden to design modernist stations, most famously at Arnos Grove; and in 1931 he paid Harry Beck five guineas to come up with a new kind of map that would simplify the most complicated transport system in the world. All the while, the tube continued to spread east, west, north and even – occasionally – south, and was by 1934 carrying 410 million passengers a year. Pick can be said to be as responsible for the image London projects around the world as Christopher Wren, George Gilbert Scott or Norman Foster. Even today, Transport for London is well aware of the value of the brand, and jealously guards icons such as the roundel and Beck’s map from even the most loving of imitators.
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    Charle's Holden's Oakwood station in 1933 Image courtesy London Transport Museum (www.ltmuseum.co.uk) © Transport For London
    Pick’s definition of the tube did not end there. In tandem with Lord Ashfield, he also arranged the integration of London’s various transport systems in 1933 under the umbrella London Transport, ensuring that an underground network that had hitherto been privately funded and unprofitable became publicly supported, thanks in part to Leader of London County Council (and Peter Mandelson’s grandfather) Herbert Morrison.

    Finance has always been the failing of the tube, largely because, as Wolmar astutely points out, the early railwaymen ‘were building a fantastic resource for Londoners whose value could never be adequately reflected through the fare box which was their only source of income’. This was as true in the days of private entrepreneur and public ownership as it is with today’s uncomfortable mish-mash, the great experiment of the Public Private Partnership. All too briefly London Transport papered over this failing through a combination of Ashfield and Pick’s acumen and the fact that, following the depression, there was greater confidence in public ownership, and more skill in the manner with which it was executed. But this was soon diluted with the World War II (in which the tube played its own valuable role), after which, rebuilding the country took precedence.
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    Train controller Frederick Barron in the control tower at Upminster depot in 1959. The track diagram has geographically mointed point switches Image courtesy London Transport Museum (www.ltmuseum.co.uk) © Transport For London
    Which, more or less, is where we are today. The tube has acquired only two new lines since Yerkes’ frenzy: the Victoria, which took 20 years from planning to opening in 1968, and the Jubilee, hewn in part from the Bakerloo Line and extended magnificently in 2000. Years of under-investment have taken their toll, and the system looks haggard and worn. Recent years have seen some improvement, but the cost to users has soared. Even the ongoing improvements leave the system, temporarily at least, worse off – with stations closed for months and entire lines closed weekend after weekend, reinforcing the public’s lack of sympathy for this ancient marvel.

    So it’s no wonder that we look upon the city’s mighty works and despair. But perhaps we should, every now and then at least, reflect on what the city would be like if the tube had never existed, be thankful for the visionaries of the past, and hopeful that their legacy will once more receive the attention and adulation it deserves
  •  

(ES) ¿¿DADO DE ALTA..???

¿Hasta cuánto puedo ganar sin tener problemas con Hacienda?

Al realizar una actividad por cuenta propia, es obligatorio declarar todos los ingresos y darse de alta como autónomo en la Seguridad Social y Hacienda
  • Por PABLO PICO RADA
  • 9 de diciembre de 2012
- Imagen: a.tobias -
Ante la necesidad de conseguir nuevas fuentes de ingresos, se ha producido un gran auge de pequeños negocios que, por norma general, generan unos beneficios reducidos. De forma paralela, se ha extendido la errónea creencia de que existe un límite legal que puede percibirse sin necesidad de declarar o darse de alta en la Seguridad Social o la Agencia Estatal de Administración Tributaria (AEAT). Tal y como dicta la normativa sobre el Régimen Especial de la Seguridad Social, siempre que se realice una actividad empresarial o profesional por cuenta propia es obligatorio estar incluido en el régimen especial de trabajadores autónomos, con independencia del tiempo que se prolongue el empleo o de la remuneración. Ahora bien, es habitual considerar, tras distintas sentencias judiciales, que cuando se generen unos ingresos inferiores al Salario Mínimo Interprofesional (SMI) en el año natural (8.979,60 euros anuales), no es necesario proceder al alta como autónomo. A continuación se responden a las principales cuestiones en torno al IRPF, el IVA y las altas en la Seguridad Social de los pequeños trabajadores por cuenta propia.

1. ¿Es obligatorio darse de alta? ¿Qué dice la ley?

Resulta obligatorio darse de alta siempre y, en especial, cuando esta actividad sea la única fuente de ingresos y se realice de manera habitual en el tiempo. Sin embargo, muchas personas que generan u obtienen unos beneficios escasos por unos trabajos o servicios extra, se plantean hasta qué punto es conveniente darse de alta.
Existe la errónea creencia de que hay un límite legal que puede percibirse sin necesidad de declarar
En numerosas ocasiones, los costes son elevados en comparación con el dinero que se ingresa, pues entre los gastos de la cuota de autónomos (la mínima son 254,21 euros mensuales) y los impuestos correspondientes, puede no resultar rentable. Ahora bien, la ley es tajante:
  • Existe obligatoriedad. En el capítulo II del Régimen Especial de la Seguridad Social de los trabajadores por cuenta propia o autónomos, se indica que, siempre que se realice una actividad por cuenta propia, es obligatorio estar incluido en el régimen especial de trabajadores autónomos, con independencia de la duración del trabajo y de la remuneración.
    Pero, ¿qué se entiende por trabajador autónomo o por cuenta propia? Según la normativa del Régimen Especial de la Seguridad Social, se entiende como trabajador por cuenta propia o autónomo aquel que realiza de forma habitual, personal y directa una actividad económica a título lucrativo, sin sujeción por ella a contrato de trabajo y aunque utilice el servicio remunerado de otras personas, sea o no titular de empresa individual o familiar.
  • Concepto de habitualidad. Es un aspecto fundamental para saber si es necesario darse de alta o no. La discusión e interpretación de dicha normativa, por su falta de especificación, genera diversas controversias y ha dado pie a distantes sentencias judiciales. Si se trata de una actividad que no es habitual, como trabajos eventuales que complementan la actividad económica principal, la jurisprudencia se ha decantado por la no necesidad de darse de alta.
  • El Salario Mínimo Interprofesional como regla. El principal aspecto que la jurisprudencia ha tenido en cuenta para valorar la obligatoriedad del alta, así como base o indicador de habitualidad, ha sido el nivel de ingresos en comparación con el SMI (641,40 euros al mes). Al no alcanzar el Salario mínimo en el año natural, las sentencias se han mostrado favorables a la no obligación de darse de alta en el Régimen Especial de Trabajadores Autónomos (RETA). Pero debe tenerse en cuenta que alegar esto implica un procedimiento judicial, con un coste importante, y ciertos riesgos pese a las sentencias favorables previas, ya que la ley sigue sin aludir a ninguna cantidad mínima y exige la obligatoriedad del alta.
  • ¿Sería posible entonces no pagar impuestos? Aunque el trabajador se encuentre en una situación que le permita no pagar la cotización de autónomo, tendrá que hacer frente al pago de impuestos. Si factura a una empresa, es probable que esta le retenga el IRPF. Si trabaja por cuenta propia, tendrá que hacer una declaración trimestral y pagar el importe que corresponda. Además, si la actividad económica lleva IVA, hay que facturarlo y pagarlo a Hacienda al final del trimestre.

2. ¿Es obligatorio presentar la Declaración de la Renta por esos ingresos?

Según refleja la Ley 35/2006, de 28 de noviembre, del Impuesto sobre la Renta de las Personas Físicas, los contribuyentes estarán obligados a presentar y suscribir declaración por este Impuesto, con los límites y condiciones que se establezcan.
Si bien, hay una serie de excepciones. No tendrán que declarar los contribuyentes que obtengan rentas procedentes solo de las siguientes fuentes:
  • Rendimientos íntegros del trabajo, con el límite de 22.000 euros anuales.
  • Rendimientos íntegros del capital mobiliario y ganancias patrimoniales sometidos a retención o ingreso a cuenta, con el tope conjunto de 1.600 euros al año.
  • Rentas inmobiliarias imputadas en virtud del artículo 85 de esta Ley, rendimientos íntegros del capital mobiliario no sujetos a retención derivados de Letras del Tesoro y subvenciones para la adquisición de viviendas de protección oficial o de precio tasado, con el límite conjunto de 1.000 euros anuales.
  • En ningún caso tendrán que declarar los contribuyentes que obtengan solo rendimientos íntegros del trabajo, de capital o de actividades económicas, así como ganancias patrimoniales, con el tope conjunto de 1.000 euros al año y pérdidas patrimoniales de cuantía inferior a 500 euros.

3. ¿Es posible emitir facturas sin estar dado de alta?

  • Es obligatorio darse de alta. Si un trabajador por cuenta propia no tiene regularizada su situación y la de sus ingresos, es decir, estar de alta en la Seguridad Social como autónomo y en Hacienda, no podrá emitir ninguna factura. Solo podrá facturar si se da de alta en el Impuesto de Actividades Económicas (IAE) en Hacienda, mediante un trámite gratuito, rellenando el modelo 037 o 036. Aunque siempre con las matizaciones y excepciones comentadas en el punto 1.
  • ¿Es necesario darse de alta por emitir una sola factura? Cuando se lleva a cabo una venta de un producto o servicio de un valor económico relativamente alto, que en cualquier caso superaría el SMI mensual, no sería posible emitir una única factura.
    La solución para legalizar dicha venta entre particulares sin darse de alta pasa por hacer efectivo el pago del Impuesto de Transmisiones Patrimoniales. Además, el vendedor deberá contabilizar esta operación como una ganancia patrimonial en la declaración anual del Impuesto sobre la Renta de las Personas Físicas (IRPF), que se calcula restando al precio final de venta, el importe de adquisición inicial.
  • Actividades exentas de IVA. En el momento de facturar, conviene recordar que existen ciertas actividades exentas de IVA, como las clases particulares, prestadas por personas físicas sobre materias incluidas en los planes de estudio de cualquier nivel educativo. O los servicios profesionales, incluidos aquellos cuya contraprestación consista en derechos de autor, prestados por artistas plásticos, escritores, colaboradores literarios, gráficos y fotográficos de periódicos y revistas, compositores musicales, autores de obras teatrales y de argumento, adaptación, guion y diálogos de las obras audiovisuales, traductores y adaptadores. Así, si un trabajador autónomo factura de forma directa a un medio de comunicación, no tendrá que abonar el IVA. En cambio, si factura a una empresa intermediaria estará sujeto al pago del IVA.

Thursday 29 November 2012

(EN) THE TRUTH ABOUT A FEW THINGS...

Toxic Translation: A Twelve-Step Program for Self-Injuring Translators

 

1. Admit that you are powerless over translation agencies.
2. Make a searching and fearless inventory of the times you have found yourself saying “I might as well take this job for $0.0000000006 per word; if I don’t, someone else will!” or “A client who pays regularly at 8,275 days is still better than one who doesn’t pay at all!” or “Agencies are a business like any other; it’s only natural that they try to make as much money as possible.” Acknowledge that the justification of unjustifiable behavior is an addiction and that your life as a translator has become unmanageable.
3. Prepare to receive a truth of the universe in nine words: Translation rates are dropping because translators accept low rates. If you want rates to stop descending, you must take your finger off the elevator button. Immediately. There is no methadone for people who are willing to translate for half what the average busboy makes, so the only way to combat this addiction is cold-turkey. Make amends by explaining clearly, each time you respond to an insulting offer, refuse a low-wage job, or decline an invitation to lower your rates why you are doing so. I know Miss Manners says we’re not supposed to tell crass, rude people that they’re crass and rude, but she’d make an exception if she were a translator: Low-payers are the abyssopelagic feeders of the sea of translation. Do not hesitate to send them back to filter the ooze whence they came.
4. If you are truly living on Kibbles ‘n Bits, cannot pay the rent, or are slipping your child thinly diluted Elmer’s glue because it’s cheaper than milk, you have an excellent excuse to accept offensive working conditions and insulting wages. Temporarily. While you look for a job that pays you a living wage and doesn’t screw your colleagues who depend on translation for their livelihood. Otherwise, you don’t have an excuse. Not everything in life is black and white, but this is. Meanwhile, if you are not truly in need, stop using that pretext to justify your participation in the destruction of the profession. It might happen to any of us to find the wolf at the door, but he isn’t at everyone’s door all the time. Don’t use the real misery of others to disguise the fact that you couldn’t locate your self-respect with a Sherpa guide and GPS.
5. Conversely, if your parents are still paying your rent and buying your groceries, your husband is the CEO of Halliburton or the President of Mediaset, or you’re a trust-fund baby who just “loves languages,” do some good for the profession and your immortal soul and start translating for free. There are dozens, if not hundreds, of worthy non-profit organizations who could use your help. In the meantime, some of us are trying to earn a living here. Your “pin-money” rates are killing translators who depend on translation as their sole source of income.
6. Accept the fact that your degree from Acme School of Language Mediation or The Flinghurst Academy of Translationology is substantially worthless. Translation is learned in the field, not in the classroom. If you are nonetheless a recent graduate of such a program, here is what to do until you’re truly prepared to command professional rates: apprentice yourself to a translator you trust, donate translations to a worthy cause in order to build your curriculum (see No. 5, above), spend your free time doing practice translations for your personal training, improve your ability to write in your native language, read—a lot—in both your languages. DO NOT : offer cut-rate translations or beg clients to let you work “for practically nothing” because you “love translating.” Why not? For the same reason that there’s a sign at the zoo that says “Don’t Feed The Monkeys.” Because, if you do, they get fat and lazy and never learn that professional, well qualified bananas are not handed around for free.
7.  Stop allowing clients to dictate your fees and working conditions. Do you really need me to trot the analogy out for you one more time? Do you? Really? Fine. Here it is: You sit down to eat in a restaurant. After consulting the menu, you call the owner over to your table. “This steak is overpriced,” you say. “I’ll pay half, and I want you to throw in a bottle of wine with that. If you don’t get everything on my table within ten minutes, though, the deal’s off.” What happens in a restaurant is that they toss you out on your stern. What happens in translation is that you say, “Oh, yes, Mr. Client, thank you, Mr. Client, may I please have another, Mr. Client.” Three words: Knock. It. Off.
8. Stop using the internet until you learn how. The “freedictionary” is not a professional resource and Wordreference.com and Yahoo! Answers are not forums where you can consult with reliable and knowledgeable colleagues. About half the answers on ProZ.com’s KudoZ boards are wrong. Wiki is often worth the paper it’s printed on. Google is not your friend. Go search for the phrase “their is” or “its a question” and see how many hits you get (2,160,000 and 50,500,000, respectively). Then we can talk about how internet searches can be so helpful in confirming correct usage. (Gosh! Translation turns out to be tougher than you thought, huh?)
9. If a client doesn’t pay you on time (or doesn’t pay you at all), stop working for that client. Agencies, publishers, and clients who fail to pay as promised are like men who hit their wives. They will do it again. The only question is: Are you going to be standing there when the blow comes? (Quiz: “They didn’t mean to do it”; “They’re just going through a difficult period”; and “If I leave, who knows if I’ll ever find another one” are phrases commonly used by [a] abused wives; [b] self-injuring translators; [c] both.)
10. Translation is not the ‘Ndrangheta. No one will send you to sleep with the fishes if you fail to maintain a lifelong pledge of omertà. Tell your colleagues when clients don’t pay, when they make unreasonable demands, when they revise without telling you, when they insist that you lower your rates, when they forget to put your name on the translation, when they change the agreed-upon conditions after you’ve already started, when they refuse to pay for urgent or after-hours work, when they demand unwarranted discounts. Accepting these conditions silently doesn’t make you a Wise Guy; it makes you an accomplice.
11. Stand up for your native language. Take pride in seeing it used eloquently, fluently, and well. Take offense when it is abused and disrespected. Don’t believe the hype about globalism, world languages, and all the rest. Stop caving in to the absurd and unverified claim that non-native translation is just as valid as native translation or that the people who read translations in their second language “don’t care” if they’re well written or not. Your ability to deploy your native language with sophistication, flexibility, and skill is your most important selling point. You may never succeed in convincing everyone of the importance of this issue, but consider this: many people also find it acceptable to drink wine that comes in boxes, watch Fox News, or buy Lady Gaga CDs. If you’re a language professional, you’re supposed to be above things like that.
12. If there’s anything worse than translators who complain all the time, it’s translators who complain about translators who complain all the time. Let’s suppose you make lots of money, your clients are respectful of your time and your expertise, and everyone pays you promptly. If so, let’s call that what it is: Enormous luck. What it is not is a license to lecture everyone on how they should just stop whinging and get back to work. The fact that translators complain is a good thing; it indicates self-esteem and an instinct for self-preservation, as distinct from your sense of superiority and every-man-for-himself smugness. If you have nothing to say that helps moves the profession forward (and not just your personal little slice of it), at least have the decency to get out of the way of people who are trying to make things better (including for you, buckaroo).

Wednesday 28 November 2012

(ES) REFLEXIONES DE LA TRADUCCIÓN

La profesión ya no llora... tanto

El esfuerzo de los traductores logra que se materialicen viejas reivindicaciones, pero sus nombres vuelven a desaparecer de las cubiertas y de muchas menciones


Los traductores literarios españoles han pasado, en medio siglo, del “traducir en España es llorar” al “traducir en España es una profesión”. Lo dice Francisco Uriz (Zaragoza, 1932), que después de medio siglo en el oficio (traduciendo del sueco, sobre todo poesía, y a veces las frases que la Academia Sueca emite para dar a conocer su estimación de los Nobel literarios), acaba de recibir del Ministerio de Cultura el Premio Nacional a la Obra de un Traductor.
Su colega, Luz Gómez (Madrid, 1967), también ha sido premiada, en su caso con el Premio Nacional a la Mejor Traducción (ambos dotados con 20.000 euros), por haber puesto en castellano En presencia de la ausencia, del árabe Mahmud Darwix (Pre-Textos), a quien lleva traduciendo 15 años. Ella cree que, en el campo de esas reivindicaciones de los traductores españoles, “quedan batallas por ganar”.
Según Gómez, “el traductor literario no deja de ser una molestia imprescindible, y como tal no se sabe qué hacer con él”. Drástica: “Lo ideal sería”, dice, “que no existiera: es una carga, molesta pagarle, molesta reconocerle”.
En los años ochenta, por la insistencia de Esther Benítez, un mito en la traducción moderna, y de Javier Marías, ambos traductores, los editores se tomaron en serio esa reivindicación y desde entonces el traductor ha solido tener su lugar a la sombra (o a la luz) del autor. Pero Luz percibe que, “tras una época de reconocimiento tipográfico, su nombre ha empezado a desaparecer de las cubiertas de los libros, para que las cubiertas queden más limpias, dicen”.
“España posee una de las leyes de Propiedad Intelectual mejores y más avanzadas de Europa. Con lo cual, no debería haber cuestiones pendientes”, dice María Teresa Gallego Urrutia, la presidenta de ACE, la organización que agrupa a los traductores españoles. “Pero hete aquí”, añade, “que buena parte de las editoriales de este país —no todas, ni mucho menos, pero sí bastantes— incumplen la ley sistemáticamente (de aquí la frase que suele repetir Miguel Sáenz: ‘España es un estado de derecho atemperado por el estricto incumplimiento de la ley’). Por ello a veces los contratos de traducción, o sea de cesión de derechos para la explotación de la traducción durante un número determinado de años, son claramente ilegales (vulneran la letra de la ley) y, otras, no llegan a ser ilegales pero son abusivos (vulneran el espíritu de la ley)”.
Ya no lloran, dice Uriz. Pero tendrían motivos. Continúa la presidenta de los traductores: “A veces las editoriales no admiten negociación alguna” sobre anticipos y porcentajes en derechos. Y, además, se producen impagos “o retrasos abusivos” por parte de algunas editoriales, “no de todas, ni mucho menos”.
Pero hay razones para decir que los tiempos han avanzado para mejor. Dice Elisabeth Falomir (Valencia, 1988, traductora del francés): “Hay que batallar duro para que se hagan contratos de traducción dignos. ¡Y que se cumplan!”. Juan Sebastián Cárdenas (colombiano en Madrid, traductor del inglés, también es narrador) tiene claro su lugar en el mundo: “En términos estrictos, los traductores no somos distintos de un encofrador o del tipo que hace alicatado. Está bien que se valore nuestro trabajo, que es tremendamente complicado y a veces tan ingrato. Pero básicamente somos trabajadores de la industria cultural. Somos obreros. Y esa consciencia de obreros viene con una lista de derechos que todavía estamos en proceso de garantizar plenamente”.
En ese plano, Cárdenas apunta a la cabeza: “En nuestros tiempos, el peor enemigo del traductor —siempre que no hablemos de un tipo mediocre y chapucero, siempre y cuando hablemos de un buen traductor— es el colegueo y la informalidad con la que muchos editores entablan las relaciones laborales. A lo largo de estos 10 años de experiencia me he topado con un puñado de listos, grandes y pequeños, dispuestos a timar a quien fuera”. Pero él tiene la suerte, dice, de trabajar con gente magnífica “como Enrique Redel (Impedimenta) o Diego Moreno (Nórdica)”.
A Uriz le pregunto por sus traducciones más preciadas. Va por épocas. “Cuando traducía con Artur Lundkvist literatura latinoamericana al sueco, me identifiqué sobre todo con César Vallejo, Pablo Neruda, Jaime Gil de Biedma y Blas de Otero… al español, me sentí hermanado con el finlandés Claes Andersson, el sueco Gunnar Ekelöf y ahora con el danés Henrik Nordbrandt, el finlandés Pentti Saarikoski. ¡Y no olvido a Tomas Tranströmer!”. Pero hay un poema del que no se puede olvidar: Sobre la guerra de Vietnam, de Goran Sonnevi, “que influyó en mí de una manera decisiva, tanto que me dio la pista para tratar en un poemario mi indignación por la barbarie norteamericana en Vietnam”.
Un traductor es un bicho raro, dice Luz Gómez. “Yo traduzco poesía pero escribo y enseño sobre islam e islamismo. Traduzco a partir de un proyecto que propongo a un editor y discutimos. Es el caso también de un buen número de poetas traductores o narradores traductores. Si no fuera por ciertos editores, siempre dispuestos a abrir el panorama, sería misión imposible”. A ella la llevó a traducir el gusto por la poesía árabe contemporánea, “en concreto la obra de Mahmud Darwix”, tarea que le ha proporcionado este premio.
Le pregunté a Cárdenas, autor también, qué se siente dándole voz a autores con los que no se experimenta identificación. Responde: “Siguiendo muy de cerca las reflexiones de Walter Benjamin sobre la traducción, creo que la mayor dificultad técnica del trabajo radica en la obligación de trasladar los efectos sensoriales que produce la lengua original a un texto determinado. La traducción crea efectos inesperados en la lengua de recepción, y por tanto, en la percepción, en el cuerpo del lector. Y ese trabajo de mediación pasa, en el sentido más literal, por el cuerpo del traductor. Podemos imaginárnoslo como una especie de máquina o antena, que recibe señales y las transforma en otra cosa”. Elisabeth Falomir: “He traducido voces narrativas casi siempre masculinas y creo haber conseguido amoldarme a distintos registros. Intento hacerme invisible, que no se me oiga: traducir es convertirse en ninja, dejarse atravesar por el texto y entregarlo sin dejar mucha huella, mimetizarse”.
Gallego Urrutia, que acaba de publicar su traducción de Orígenes y Los desorientados, de Amin Maalouf (Alianza), dice qué le dejan los autores: “Una embriaguez…”. Lo explicó en un artículo en El Trujamán, la revista de traducción del Instituto Cervantes: “De repente, esas pocas palabras, esas pocas frases, breves pero fundamentales y eternas, son mías. Las poseo y me poseen”.
El orgullo del traductor literario, dice, “reside en su capacidad y su talento para enfrentarse a la traducción de cuantos escritores les encomienden las editoriales. Su versatilidad es su grandeza”. Por eso su exigencia de buen trato es una reivindicación que parece inacabable. Uriz lo explica: “Siempre hay que seguir reclamando un pago por página que lleve nuestros honorarios al nivel de lo que cobra la señora de la limpieza”.
Ya no lloran… tanto; quieren ser invisibles y son ecos necesarios de los autores extranjeros. Quieren volver a las cubiertas y quieren que su salario compense el esfuerzo de ser imprescindibles.

Monday 29 October 2012

(ES) ¿LIBERTAD DE EXPRESIÓN?

3000 euros contra la transparencia


Madrid 29 de octubre de 2012 – Access Info Europe tendrá que pagar 3.000 euros por preguntar cuáles son las medidas que España está implementando para luchar contra la corrupción. Según la sentencia del Tribunal Supremo que cierra el caso que comenzó en 2007, no tenemos derecho a solicitar esa información.
El principal argumento del Tribunal Supremo es que la información solicitada por Access Info Europe sobre el cumplimiento de España con las obligaciones impuestas por la Convención de las Naciones Unidas contra la Corrupción es en realidad una forma de pedir explicaciones al gobierno y no una solicitud de información en sí. El Tribunal no se pronuncia sobre la alegación principal, que es la violación del derecho de acceso a la información, reconocido internacionalmente como un derecho fundamental.Supremo_3000
“El problema es que la Administración no llega a contestar a Access Info Europe, lo que obliga a la organización a acudir a la vía judicial, una vía lenta y costosa para todos pero especialmente las ONG, para poder seguir con su trabajo”, comentaba Enrique Jaramillo, abogado defensor de Access Info Europe en este caso.

“El Tribunal Supremo reconoce que la Administración incumple con su obligación de contestar, escudándose en la figura del silencio administrativo, y condena en costas a quien reclama amparo judicial con una sentencia que ni siquiera entra en el fondo del asunto”, explica Jaramillo, y añade que “el riesgo de tener que pagar costas es un desincentivo enorme para el ciudadano y hace menos probable que alguien decida impugnar judicialmente la falta de respuesta a una solicitud de información.”
Según los estudios y monitoreos que Access Info ha desarrollado desde 2006 en España, el nivel de silencio administrativo en la solicitudes de acceso a la información a instituciones españolas es de media de un 50%.
España, en el marco de sus obligaciones como país firmante de la Convención de Naciones Unidas Contra la Corrupción (UNCAC), debe completar cada dos años un formulario de autoevaluación en el que detalla qué está haciendo para implementar las medidas para luchar contra la corrupción. Esta información en España no es pública.

“Esta situación es bastante sorprendente, especialmente para un país que está diciendo a la comunidad internacional que está haciendo
esfuerzos por mejorar la transparencia, en concreto para luchar contra la corrupción” comentaba Helen Darbishire, directora ejecutiva de Access Info Europe.
“Access Info Europe ya ha presentado un recurso ante el Tribunal Constitucional y recurrirá esta decisión ante el Tribunal Europeo de Derechos Humanos”, añadía Darbishire.
Un estudio internacional, “Cuenten lo que han hecho”, publicado en 2011, halló que países como Argentina, Armenia, Chile, Colombia, o Reino Unido entregaban al público la información sobre la implementación de medidas anticorrupción que Access Info Europe intentaba conseguir en 2007 para poder participar en el debate público sobre la lucha contra corrupción en España.
España sigue siendo el único país de Europa con más de un millón de habitantes que no cuenta con una ley de acceso a la información pública. Esta situación también coloca a España en la lista de incumplidores de la UNCAC que recoge en su artículo 13 la necesidad de “garantizar el acceso eficaz del público a la información”.

“Es una situación que roza lo ridículo y que además de seguir sumando derrotas a la transparencia en España, perjudica aun más la imagen y la reputación de las instituciones públicas españolas, ya bastante menoscabada por la crisis”, comentaba Victoria Anderica, coordinadora de campañas de Access Info Europe.

http://www.access-info.org/es/coalicion-pro-acceso/296-tribunal-supremo 

Sunday 14 October 2012

(ES) LONDON (trip to the heart of the city)..



And it was said ' This is London....UK...'


Desgraciadamente la oportunidad de asomarnos a las aguas revueltas del Támesis no se presenta tan a menudo que a uno le gustaría. Sin embargo, este fin de semana hemos tomad parte del incisante pasear de la gente en Soho, de los trajes de Savile Row, de las ventanas de China town con sus patos asados y del aroma a raíles viejos característico del Tube. Una cuidad tan grande y a la vez tan llena de pequeños rincones encondidos a la vista de los turistas; como la tienda de objetos perdidos en Baker St. que muestra en su escaparate los objetos perdidos en el Tube desde los días de su inauguración. (Top hats, old records and ancient mobile phones).




Después de un verano con temperaturas que amenazan la evaporación instantánea del agua de las fuentes se agradece la frescura de los vientos de la capital y la atmósfera cosmopolita pero a la vez rancia de las calles colindates a Tottenham Court Road.
En definitiva, un descanso para el oído que se había acostumbrado a oir solo un idioma, y un toque de estimulación a los lóbulos cerebrales que de vez en cuando hay que alimentar.

Thursday 13 September 2012

(EN) Language Research

1. The Anglo-Saxons and Their Language

1.1. Who were they?

MIDDLE ENGLISH GRAMMAR HERE

“Anglo-Saxon” is the term applied to the English-speaking inhabitants of Britain from around the middle of the fifth century until the time of the Norman Conquest, when the Anglo-Saxon line of English kings came to an end.
According to the Venerable Bede, whose Historia Ecclesiastica Gentis Anglorum [Ecclesiastical History of the English People], completed in the year 731, is the most important source for the early history of England, the Anglo-Saxons arrived in the island of Britain during the reign of Martian, who in 449 became co-emperor of the Roman Empire with Valentinian III and ruled for seven years.
Before that time, Britain had been inhabited by speakers of Celtic languages: the Scots and Picts in the north, and in the south various groups which had been united under Roman rule since their conquest by the emperor Claudius in A.D. 43. By the beginning of the fifth century the Roman Empire was under increasing pressure from advancing barbarians, and the Roman garrisons in Britain were being depleted as troops were withdrawn to face threats closer to home. In A.D. 410, the same year in which the Visigoths entered and sacked Rome, the last of the Roman troops were withdrawn and the Britons had to defend themselves. Facing hostile Picts and Scots in the north and Germanic raiders in the east, the Britons decided to hire one enemy to fight the other: they engaged Germanic mercenaries to fight the Picts and Scots. 



It was during the reign of Martian that the newly-hired mercenaries arrived. These were from three Germanic nations situated near the northern coasts of Europe: the Angles, the Saxons and the Jutes. According to Bede, the mercenaries succeeded quickly in defeating the Picts and Scots and then sent word to their homes of the fertility of the island and the cowardice of the Britons. They soon found a pretext to break with their employers, made an alliance with the Picts, and began to conquer the territory that would eventually be known as England—a slow-moving conquest that would take more than a century.
It has been many years since Bede’s narrative was accepted uncritically, but recent research has introduced especially significant complications into his traditional account of the origins of the Anglo-Saxons. Genetic research generally suggests that neither the Anglo-Saxon invasion nor any other brought about a wholesale replacement of the British population, which has remained surprisingly stable for thousands of years: presumably the landholding and ruling classes were widely replaced while the greatest proportion of the population remained and eventually adopted Germanic ethnicity—a process that has parallels on the continent. Yet in some areas it may well be that some, at least, of the older British landholding class survived by intermarrying with the invaders. The occurrence of Celtic names among early West Saxon kings points to the possibility, and genetic research appears to bear it out, especially for the south. It increasingly appears that the “Anglo-Saxon invasion” is as much the invasion of an ethnicity as that of a population.
Though Bede’s account cannot be accepted without reservation, his story nevertheless gives us essential information about how the Anglo-Saxons looked at themselves: they considered themselves a warrior people, and they were proud to have been conquerors of the territory they inhabited. Indeed, the warrior ethic that pervades Anglo-Saxon culture is among the first things that students notice on approaching the field.
But Europe had no shortage of warrior cultures in the last half of the first millennium. What makes Anglo-Saxon England especially worthy of study is the remarkable literature that flourished there. The Anglo-Saxon kingdoms converted to Christianity in the late sixth and early seventh centuries, and by the late seventh and early eighth centuries had already produced two major authors: Aldhelm, who composed his most important work, De Virginitate [On Virginity], twice, in prose and in verse; and the Venerable Bede, whose vast output includes biblical commentaries, homilies, textbooks on orthography, meter, rhetoric, nature and time, and of course the Historia Ecclesiastica, mentioned above. A small army of authors, Bede’s contemporaries and successors, produced saints’ lives and a variety of other works in prose and verse, largely on Christian themes.
These seventh- and eighth-century authors wrote in Latin, as did a great many Anglo-Saxon authors of later periods. But the Anglo-Saxons also created an extensive body of vernacular literature at a time when relatively little was being written in most of the other languages of western Europe. In addition to such well-known classic poems as Beowulf, The Dream of the Rood, The Wanderer, The Seafarer and The Battle of Maldon, they left us the translations associated with King Alfred’s educational program, a large body of devotional works by such writers as Ælfric and Wulfstan, biblical translations and adaptations, The Anglo-Saxon Chronicle and other historical writings, law codes, handbooks of medicine and magic, and much more. While most of the manuscripts that preserve vernacular works date from the late ninth, tenth and eleventh centuries, the Anglo-Saxons were producing written work in their own language by the early seventh century, and many scholars believe that Beowulf and several other important poems date from the eighth century. Thus we are in possession of five centuries of Anglo-Saxon vernacular literature.
To learn more about the Anglo-Saxons, consult the Further Reading section of this book and choose from the works listed there: they will give you access to a wealth of knowledge from a variety of disciplines. This book will give you another kind of access, equipping you with the skills you need to encounter the Anglo-Saxons in their own language. 


1.2. Where did their language come from?

Bede tells us that the Anglo-Saxons came from Germania. Presumably he was using that term as the Romans had used it, to refer to a vast and ill-defined territory east of the Rhine and north of the Danube, extending as far east as the Vistula in present-day Poland and as far north as present-day Sweden and Norway. This territory was nothing like a nation, but rather was inhabited by numerous tribes which were closely related culturally and linguistically.[1]
The languages spoken by the inhabitants of Germania were a branch of the Indo-European family of languages, which linguists believe developed from a single language spoken some five thousand years ago in an area that has never been identified—perhaps, some say, the Caucasus. From this ancient language come most of the language groups of present-day Europe and some important languages of South Asia: the Celtic languages (such as Irish, Welsh and Scottish Gaelic), the Italic languages (such as French, Italian, Spanish and Romanian, descended from dialects of Latin), the Germanic languages, the Slavic languages (such as Russian and Polish), the Baltic languages (Lithuanian and Latvian), the Indo-Iranian languages (such as Persian and Hindi), and individual languages that do not belong to these groups: Albanian, Greek, and Armenian. The biblical Hittites spoke an Indo-European language, or a language closely related to the Indo-European family, and a number of other extinct languages (some of them poorly attested) were probably or certainly Indo-European: Phrygian, Lycian, Thracian, Illyrian, Macedonian, Tocharian and others.
The Germanic branch of the Indo-European family is usually divided into three groups:


North Germanic,
that is, the Scandinavian languages, Swedish, Danish, Norwegian, Icelandic and Faroese;
East Germanic,
that is, Gothic, now extinct but preserved in a fragmentary biblical translation from the fourth century;
West Germanic,
which includes High German, English, Dutch, Flemish and Frisian.
Within the West Germanic group, the High German dialects (which include Modern German) form a subgroup distinct from English and the other languages, which together are called “Low German” because they were originally spoken in the low country near the North Sea.[2]
Surely the language spoken by the Germanic peoples who migrated to Britain was precisely the same as that spoken by the people they left behind on the continent. But between the time of the migration and the appearance of the earliest written records in the first years of the eighth century, the language of the Anglo-Saxons came to differ from that of the people they had left behind. We call this distinct language Old English to emphasize its continuity with Modern English, which is directly descended from it.


1.3. What was Old English like?

We often hear people delivering opinions about different languages: French is “romantic,” Italian “musical.” For the student of language, such impressionistic judgments are not very useful. Rather, to describe a language we need to explain how it goes about doing the work that all languages must do; and it is helpful to compare it with other languages—especially members of the language groups it belongs to.
Languages may be compared in a number of ways. Every language has its own repertory of sounds, as known by all students who have had to struggle to learn to pronounce a foreign language. Every language also has its own rules for accentuating words and its own patterns of intonation—the rising and falling pitch of our voices as we speak. Every language has its own vocabulary, of course, though when we’re lucky we find a good bit of overlap between the vocabulary of our native language and that of the language we’re learning. And every language has its own way of signalling how words function in utterances—of expressing who performed an action, what the action was, when it took place, whether it is now finished or still going on, what or who was acted upon, for whose benefit the action was performed, and so on.
The following sections attempt to hit the high points, showing what makes Old English an Indo-European language, a Germanic language, a West Germanic and a Low German language; and also how Old and Modern English are related.

1.3.1. The Indo-European languages

The Indo-European languages do certain things in much the same way. For example, they share some basic vocabulary. Consider these words for ‘father’:
Old English fæder
Latin pater
Greek patḗr
Sanskrit pitá
You can easily see the resemblance among the Latin, Greek and Sanskrit words. You may begin to understand why the Old English word looks different from the others when you compare these words for ‘foot’:
Old English fōt
Latin pedem
Greek póda
Sanskrit pdam
If you suspect that Latin p will always correspond to Old English f, you are right, more or less. For now, it’s enough for you to recognize that the Indo-European languages do share a good bit of vocabulary, though the changes that all languages go through often bring it about that the same word looks quite different in different languages.[3]
All of the Indo-European languages handle the job of signalling the functions of words in similar ways. For example, all add endings to words. The plural form of the noun meaning ‘foot’ was pódes in Greek, pedēs in Latin, and pádas in Sanskrit—and English feet once ended with -s as well, though that ending had already disappeared by the Old English period. Most Indo-European languages signal the function of a noun in a sentence or clause by inflecting[4] it for case (though some languages no longer do, and the only remaining trace of the case system in Modern English nouns is the possessive ’s). And most also classify their nouns by gender—masculine, feminine or neuter (though some have reduced the number of genders to two).>
Indo-European languages have ways to inflect words other than by adding endings. In the verb system, for example, words could be inflected by changing their root vowels, and this ancient system of “gradation” persists even now in such Modern English verbs as swim (past-tense swam, past participle swum). Words could also be inflected by shifting the stress from one syllable to another, but only indirect traces of this system remain in Old and Modern English.

1.3.2. The Germanic languages

Perhaps the most important development that distinguishes the Germanic languages from others in the Indo-European family is the one that produced the difference, illustrated above, between the p of Latin pater and the f of Old English fæder. This change, called “Grimm’s Law” after Jacob Grimm, the great linguist and folklorist, affected all of the consonants called “stops”—that is, those consonants produced by momentarily stopping the breath and then releasing it (for example, [p], [b], [t], [d]):[5]
Unvoiced stops
([p], [t], [k]) became unvoiced spirants ([f], [θ], [x]), so that Old English fæder corresponds to Latin pater, Old English þrēo ‘three’ to Latin tres, and Old English habban ‘have’ to Latin capere ‘take’.
Voiced stops
([b],[6] [d], [g]) became unvoiced stops ([p], [t], [k]), so that Old English dēop ‘deep’ corresponds to Lithuanian dubùs, twā ‘two’ corresponds to Latin duo and Old English æcer ‘field’ to Latin ager.
Voiced aspirated stops[7]
([bʰ], [dʰ], [gʰ]) became voiced stops ([b] [d], [g]) or spirants ([β], [ð], [ɣ]), so that Old English brōðor corresponds to Sanskrit bhrátar- and Latin frater, Old English duru ‘door’ to Latin fores and Greek thúra, and Old English ġiest ‘stranger’ to Latin hostis ‘enemy’ and Old Slavic gosti ‘guest’. 

Almost as important as these changes in the Indo-European consonant system was a change in the way words were stressed. You read in § 1.3.1 that the Indo-European language sometimes stressed one form of a word on one syllable and another form on another syllable. For example, in Greek the nominative singular of the word for ‘giant’ was gígās while the genitive plural was gigóntōn. But in Germanic, some time after the operation of Grimm’s Law, stress shifted to the first syllable. Even prefixes were stressed, except the prefixes of verbs and the one that came to Old English as ġe- (these were probably perceived as separate words rather than prefixes). The fact that words in Germanic were almost always stressed on the first syllable had many consequences, not least of which is that it made Old English much easier than ancient Greek for modern students to pronounce.
Along with these sound changes came a radical simplification of the inflectional system of the Germanic languages. For example, while linguists believe that the original Indo-European language had eight cases, the Germanic languages have four, and sometimes traces of a fifth. And while students of Latin and Greek must learn a quite complex verb system, the Germanic verb had just two tenses, present and past. Germanic did introduce one or two complications of its own, but in general its inflectional system is much simpler than those of the more ancient Indo-European languages, and the Germanic languages were beginning to rely on a relatively fixed ordering of sentence elements to do some of the work that inflections formerly had done.

1.3.3. West Germanic and Low German

The West Germanic languages differ from North and East Germanic in a number of features which are not very striking in themselves, but quite numerous. For example, the consonant [z] became [r] in North and West Germanic. So while Gothic has hazjan ‘to praise’, Old English has herian. In West Germanic, this [r] disappeared at the ends of unstressed syllables, with the result that entire inflectional endings were lost. For example, the nominative singular of the word for ‘day’ is dagr in Old Icelandic and dags in Gothic (where the final [z] was unvoiced to [s]), but dæġ in Old English, dag in Old Saxon, and tac in Old High German.


Low German is defined in part by something that did not happen to it. This non-event is the “High German consonant shift,” which altered the sounds of the High German dialects as radically as Grimm’s Law had altered the sounds of Germanic. Students of Modern German will recognize the effects of the High German consonant shift in such pairs as English eat and German essen, English sleep and German schlafen, English make and German machen, English daughter and German Tochter, English death and German Tod, English thing and German Ding. Another important difference between High German and Low German is that the Low German languages did not distinguish person in plural verbs. For example, in Old High German one would say wir nemumēs ‘we take’, ir nemet ‘you (plural) take’, sie nemant ‘they take’, but in Old English one said wē nimað ‘we take’, ġē nimað ‘you (plural) take’, hīe nimað ‘they take’, using the same verb form for the first, second and third persons.
The most significant differences between Old English (with Old Frisian) and the other Low German languages have to do with their treatment of vowels. Old English and Old Frisian both changed the vowel that in other Germanic languages is represented as a, pronouncing it with the tongue farther forward in the mouth: so Old English has dæg ‘day’ and Old Frisian dei, but Old Saxon (the language spoken by the Saxons who didn’t migrate to Britain) has dag, Old High German tac, Gothic dags, and Old Icelandic dagr. Also, in both Old English and Old Frisian, the pronunciation of a number of vowels was changed (for example, [o] to [e]) when [i] or [j] followed in the next syllable. This development, called i-mutation, has implications for Old English grammar and so is important for students to understand.
Old English dramatically reduced the number of vowels that could appear in inflectional endings. In the earliest texts, any vowel except y could appear in an inflectional ending: a, e, i, o, u, æ. But by the time of King Alfred i and æ could no longer appear, and o and u were variant spellings of more or less the same sound; so in effect only three vowels could appear in inflectional endings: a, e and o/u. This development of course reduced the number of distinct endings that could be added to Old English words. In fact, a number of changes took place in unaccented syllables, all tending to eliminate distinctions between endings and simplify the inflectional system.

1.3.4. Old and Modern English

The foregoing sections have given a somewhat technical, if rather sketchy, picture of how Old English is like and unlike the languages it is related to. Modern English is also “related” to Old English, though in a different way; for Old and Modern English are really different stages in the development of a single language. The changes that turned Old English into Middle English and Middle English into Modern English took place gradually, over the centuries, and there never was a time when people perceived their language as having broken radically with the language spoken a generation before. It is worth mentioning in this connection that the terms “Old English,” “Middle English” and “Modern English” are themselves modern: speakers of these languages all would have said, if asked, that the language they spoke was English.
There is no point, on the other hand, in playing down the differences between Old and Modern English, for they are obvious at a glance. The rules for spelling Old English were different from the rules for spelling Modern English, and that accounts for some of the difference. But there are more substantial changes as well. The three vowels that appeared in the inflectional endings of Old English words were reduced to one in Middle English, and then most inflectional endings disappeared entirely. Most case distinctions were lost; so were most of the endings added to verbs, even while the verb system became more complex, adding such features as a future tense, a perfect, and a pluperfect. While the number of endings was reduced, the order of elements within clauses and sentences became more fixed, so that (for example) it came to sound archaic and awkward to place an object before the verb, as Old English had frequently done.
The vocabulary of Old English was of course Germanic, more closely related to the vocabulary of such languages as Dutch and German than to French or Latin. The Viking age, which culminated in the reign of the Danish king Cnut in England, introduced a great many Danish words into English—but these were Germanic words as well. The conquest of England by a French-speaking people in the year 1066 eventually brought about immense changes in the vocabulary of English. During the Middle English period (and especially in the years 1250-1400) English borrowed some ten thousand words from French, and at the same time it was friendly to borrowings from Latin, Dutch and Flemish. Now relatively few Modern English words come from Old English; but the words that do survive are some of the most common in the language, including almost all the “grammar words” (articles, pronouns, prepositions) and a great many words for everyday concepts. For example, the words in this paragraph that come to us from Old English (or are derived from Old English words) include those in table 1.1.
Table 1.1. Some Modern English words from Old English
about by from now these
almost come great of this
all Danish in old thousand
and do into or time
are England it some to
as English king speaking was
at everyday many such were
borrowings for middle ten which
brought French more than word
but friendly most the year

1.4. Old English dialects

The language spoken by the Anglo-Saxons at the time of their migration to Britain was probably more or less uniform. Over time, however, Old English developed into four major dialects: Northumbrian, spoken north of the river Humber; Mercian, spoken in the midlands; Kentish, spoken in Kent (in the far southeastern part of the island); and West Saxon, spoken in the southwest.
All of these dialects have direct descendants in modern England, and American regional dialects also have their roots in the dialects of Old English. “Standard” Modern English (if there is such a thing), or at least Modern English spelling, owes most to the Mercian dialect, since that was the dialect of London.
Most Old English literature is not in the Mercian dialect, however, but in West-Saxon, for from the time of King Alfred (reigned 871-899) until the Conquest Wessex dominated the rest of Anglo-Saxon England politically and culturally. Nearly all Old English poetry is in West Saxon, though it often contains spellings and vocabulary more typical of Mercian and Northumbrian—a fact that has led some scholars to speculate that much of the poetry was first composed in Mercian or Northumbian and later “translated” into West Saxon. Whatever the truth of the matter, West Saxon was the dominant language during the period in which most of our surviving literature was recorded. It is therefore the dialect that this book will teach you.