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Archaeologists examine the unusual arrangement of stones that appeared to “point” to a Viking grave (Photo: Alf Ericsson, Arkeologerna)

Unusual Stones Lead Archaeologists to Viking-Era Tomb — Two Coffins, Mysterious Fabric, and Clues of a Pagan-Christian Transition

May 4, 2025

On the outskirts of a Swedish town, an unusual arrangement of stones stood out in an otherwise flat and unremarkable landscape. The stones had long gone unnoticed—until archaeologists gave them a closer look. Intrigued by their peculiar alignment, the team suspected something significant might lie beneath. So, they began to dig.

Their hunch proved correct.

Archaeologists in Linköping, southern Sweden, uncovered a Viking-era grave—hidden beneath this curious stone formation. The discovery came just in time, as the area had been marked for future development. Prompted by the city authorities, excavation began in October 2022, with a focus on the mysterious stones, according to a press release issued by Sweden’s Arkeologerna (National Historical Museums) on April 24, 2025.

A Grave Revealed by Stones

The stone pattern was unlike any the archaeologists had seen before. Drone imagery captured rows of upright stones forming a recessed central area—leading researchers to dig at the center. Sure enough, they uncovered a Viking burial site dating to the 9th century.

Although no human remains were found, the grave still held rich archaeological value. Two coffins, along with weapons, cloth fragments, and other artifacts, offered key insights into Viking funerary practices.

Fifteen rusted nails—once used to seal one of the coffins—were found, as well as a forged iron axe head with remnants of its wooden handle. Measuring approximately 20.3 cm (8 inches), the wedge-shaped axe likely served both as a tool and weapon.

A Strange Fabric and a Hidden Knife

Next to the axe, archaeologists discovered fragments of a woven textile made from an unidentified material. Possibly part of the deceased’s clothing, the yellowish fabric drew particular interest due to its unusual preservation.

Another item found was a knife, about 17.8 cm (7 inches) long, believed to have been buried inside a wooden container. Its presence adds to the interpretation of the grave as one belonging to a person of some status.

A Glimpse into a Religious Shift

What makes this burial especially fascinating is the combination of pagan and Christian elements. Based on the tomb’s age, structure, and contents, researchers believe it represents a period of religious transition—when Christian customs began to influence long-standing pagan burial traditions.

Beneath and around the Viking tomb, several older cremation burials were uncovered. These may have been part of earlier pagan rites. The later inhumation—complete with coffin and grave goods—might have been an intentional act to "purify" or repurpose the site as beliefs shifted toward Christianity.

The piece of fabric found in the Viking Age grave (Photo: Acta Konserveringscentrum AB via Helander (2025) and Arkeologerna).

An Unexpected and Valuable Find

Archaeologists describe the discovery as both surprising and invaluable for understanding how burial traditions evolved in medieval Scandinavia. The excavation at Linköping, a city in the Östergötland province known for its university and aerospace industry, wrapped up in October 2022. All finds have since been removed for preservation and further study.

This remarkable site not only provides a snapshot of Viking life and death but also captures a unique moment in history—when old gods gave way to new faiths.

The Seven Secrets of the Luxor Obelisk in Paris

May 4, 2025

On October 25, 1836, over 200,000 people gathered in Paris’s Place de la Concorde to witness a historic event: the placement of the Luxor Obelisk in its new home at the heart of the French capital.

This awe-inspiring monument of ancient Egyptian craftsmanship, carved from pink granite during the reign of Pharaoh Ramesses II in the 13th century BCE, originally stood at the entrance of the Temple of Amun in Luxor. It was gifted to France by Egypt’s viceroy, Muhammad Ali Pasha, as a symbol of diplomatic friendship and cooperation between the two nations.

For nearly two centuries, the Luxor Obelisk has stood proudly as one of Paris’s iconic landmarks. Egyptologists have long believed that they had deciphered all of the hieroglyphic inscriptions adorning its surface. But now, Dr. Jean-Guillaume Olette-Pelletier, a leading scholar from the University of Paris-Sorbonne, claims there is more than meets the eye.

A Discovery from the Top

During the COVID-19 lockdown, Dr. Olette-Pelletier became the first expert since 1836 to receive permission to ascend to the top of the obelisk. Over several days, he conducted detailed measurements and analyses of the monument’s artistic patterns. His findings suggest that hidden messages have gone unnoticed for nearly 190 years.

Remarkably, Dr. Olette-Pelletier is one of only six people in the world with the ability to read "crypto-hieroglyphs" — a special category of secret messages subtly embedded within standard hieroglyphic inscriptions.

According to an interview he gave to Sciences et Avenir, one of these hidden inscriptions forms the phrase “Pacify the Ka power of Amun,” a reference to the divine life force associated with Amun, the ancient Egyptian god of air.

Secrets Yet to Be Revealed

While the full details of all seven hidden messages remain under wraps, Dr. Olette-Pelletier has confirmed that they will be published in an upcoming issue of the ENIM (Egyptologie et Nouvelles Interprétations Modernes), a respected journal of Egyptology.

If his findings are confirmed, they could shed new light on the obelisk’s symbolic significance — not just as a monument, but as a carefully encoded spiritual artifact, offering insights into the sacred beliefs and political intentions of ancient Egypt.

Mystery Surrounds Giant “False” Pink Door in Ancient Tomb of Egyptian Prince

May 4, 2025

Archaeologists in Egypt have uncovered a 4,400-year-old tomb belonging to a prince — and at its heart lies a towering “false” pink granite door, believed to allow the spirit of the deceased to pass in and out of the tomb.

The tomb is attributed to Prince Userefre, son of Pharaoh Userkaf, who ruled Egypt from approximately 2465 to 2458 BCE during the Fifth Dynasty.

A Door for the Afterlife

This recently discovered false door, as revealed by the Egyptian Ministry of Tourism and Antiquities, bears inscriptions identifying the prince as a “crown prince,” as well as a “judge,” “minister,” “governor of two regions,” and a “chanting priest.” Despite his many titles, the prince and his tomb were previously unknown to scholars.

“Before this discovery, we didn’t even know he existed,” said Ronald Leprohon, professor emeritus of Egyptology at the University of Toronto, who was not involved in the excavation.

Standing at about 4.5 meters tall and 1.2 meters wide, the door is carved from pink granite — a material both rare and prestigious. In ancient Egypt, false doors were a common feature in tombs. According to the Metropolitan Museum of Art in New York, they were believed to function as spiritual gateways, allowing the soul of the deceased to travel between the world of the living and the afterlife.

Fit for Royalty

Experts say the size and material of the door reflect the prince’s elevated status. Pink and red granite had to be quarried and transported from Aswan — roughly 644 kilometers to the south — and were typically reserved for royalty and the elite.

Nearby, archaeologists also found an offering table made of red granite. Leprohon explained that in ancient Egyptian burial practices, food offerings were often placed on these tables so that the deceased could “magically” consume them. In reality, the food was usually eaten by the tomb priests or the deceased's family during rituals of remembrance.

A Tomb with Layers of History

Interestingly, the tomb appears to have been reused centuries later, during Egypt’s 26th Dynasty (around 688 to 525 BCE). At that time, a statue depicting King Djoser — along with his wife and children — was placed inside the tomb. Djoser, who ruled during the Third Dynasty (circa 2649–2575 BCE), is best known for building Egypt’s first pyramid: the famous Step Pyramid at Saqqara.

Analysis of the statue suggests it may have originally stood in or near that very pyramid complex. Why it was later moved to the tomb of Prince Userefre remains a mystery.

The Search Continues

So far, archaeologists have yet to locate the actual burial chamber of Prince Userefre. Excavations at the site are ongoing, with hopes of uncovering more about the life — and afterlife — of this long-lost royal.

The Earliest Known Mathematical Tablets of Mesopotamia and Elam

May 4, 2025

By Dimosthenis Vasiloudis


Early mathematical tablets (c. 1900–1700 BC) from Mesopotamia and Elam, with their geographical origin and diagrams of their content.

Mesopotamian mathematics refers to the mathematical practices of the ancient civilizations of Mesopotamia (modern-day Iraq and surrounding regions), including Sumer, Babylonia, and Assyria. It is one of the earliest highly-developed mathematical traditions in history, predating Greek mathematics by many centuries. The Mesopotamians developed a sexagesimal (base-60) place-value numeral system​ and recorded their calculations on clay tablets in cuneiform script. Hundreds of these tablets – especially from the Old Babylonian period (c. 1900–1600 BC) – have been unearthed, covering a wide range of topics from practical computations for trade and agriculture to advanced algebraic and geometric problems​. For instance, ancient scribes drew up tables of multiplication and reciprocals, as well as tables of squares, cubes, and even exponential growth, and they could solve quadratic and cubic equations and calculate compound interest​plus.maths.org. Such accomplishments underscore a dynamic mathematical culture that thrived in Mesopotamia for over three thousand years​.

This long-lived mathematical heritage was not confined to Mesopotamia proper. In the neighbouring land of Elam (modern southwestern Iran), particularly at the city of Susa, archaeologists have discovered early mathematical tablets with similar content, indicating that advanced mathematical thinking spread across the region. In this bilingual article, we will explore some of the earliest known mathematical tablets – including Plimpton 322, the YBC 7289, YBC 7290, and YBC 11120 tablets from the Yale Babylonian Collection, and a notable tablet from Susa. Through these examples, we will examine the mathematical content of each tablet, their historical context and location, and how they demonstrate both the practical and abstract/theoretical mathematical understanding of the Mesopotamians.

The Plimpton 322 Tablet

Plimpton 322 is one of the most famous Mesopotamian mathematical tablets. It is a clay tablet from the Old Babylonian period (circa 1800 BC), believed to have originated from the city of Larsa in southern Mesopotamia. Roughly 13 cm wide and 9 cm tall (with part of the tablet broken, it is now preserved at Columbia University in New York (George A. Plimpton acquired it around 1922 and later bequeathed it to. The cuneiform text on Plimpton 322 is laid out as a table with four columns and fifteen rows. Each row corresponds to a set of numbers that form a Pythagorean triple—that is, integers (a, b, c) satisfying the equation a² + b² = c². In other words, the Babylonians clearly knew the relationship equivalent to the Pythagorean theorem long before Pythagoras, and they could find multiple examples of such integer solutions. The triples recorded on Plimpton 322 are neither few nor simple; in fact, the numbers involved are quite large, and there are far too many combinations to have been obtained by brute force trial-and-error, which implies that Babylonian scribes had systematic methods for generating Pythagorean triples. Modern research suggests they may have used algebraic techniques involving reciprocal pairs of numbers to produce these triples​.

The exact purpose of Plimpton 322 is still debated. Some scholars argue it may have served as a teaching tool or reference for school instruction—for instance, a master scribe could use it to generate problems about right triangles for students, using each row’s numbers as a different example. Others have noted its similarity to administrative lists, but the prevailing view is that it was intended for mathematical work. In any case, Plimpton 322 demonstrates an exceptionally advanced and abstract understanding of mathematics. By around 1800 BC, Babylonian scholars were not only aware of the right-triangle relationship but had tabulated 15 distinct solutions for it—a clear indication of theoretical interest. Notably, this occurs at least a millennium before the time of Pythagoras, showing that the principle of the Pythagorean theorem was known and used in Mesopotamia long before classical Greek antiquity.

YBC 7289 Tablet (Square Root of 2)

Another impressive example of Babylonian mathematical prowess is found on the tablet YBC 7289, part of the Yale Babylonian Collection. This small, circular clay tablet from the Old Babylonian period (18th century BC) contains an extremely accurate approximation of the square root of 2​. The tablet’s round shape and modest size suggest it was likely a student exercise in a scribal school – indeed, round tablets were commonly used by apprentice scribes for practice. On YBC 7289, a square is drawn, and numbers are inscribed relating to the square’s side and its diagonal. Along one side of the square is written “30” (presumably in some unit of length), and 1;24,51,10 is written along the diagonal​. In Babylonian sexagesimal notation, 1;24,51,10 represents 1 + 24/60 + 51/60² + 10/60³, which in decimal equals approximately 1.41421296 – a remarkably close value for √2 (since √2 ≈ 1.41421356), correct to at least five decimal places​. Below the diagonal, the product 42;25,35 is also written, which is exactly 30 × 1;24,51,10 (~42.4263888 in decimal)​. In this way, the scribe verified that for a square of side 30, the diagonal is ~42.43 in the same units, confirming the relationship 30 × 1;24,51,10 = 42;25,35. Essentially, the value 1;24,51,10 serves as the “diagonal coefficient” for the square – effectively the value of √2 in sexagesimal form. The approximation is so good that the square of 1;24,51,10 yields 1,59,59,59,38,1,40 in sexagesimal notation (nearly 2 exactly)​.

Beyond its numerical content, YBC 7289 highlights how Mesopotamians combined practical geometry with abstract number theory. On a practical level, finding a square’s diagonal given its side is useful for surveying land or constructing right angles in architecture. However, its appearance on a student tablet shows it was also used as a teaching example – instructors likely employed it to teach the concept of the diagonal and its non-integer value. Notably, the same numerical value (1;24,51,10) appears in other Babylonian sources, such as in coefficient lists for geometric computations​. This suggests that the Babylonians had general tables of constants – in this case, they knew that for any square, the ratio of diagonal to side is ~1.4142. Thus, YBC 7289 is clear evidence of a sophisticated theoretical awareness: an understanding of an irrational number (√2 cannot be expressed as a finite fraction) and the ability to calculate it with high precision. As modern scholars have noted, achievements like this – along with the Pythagorean triples of Plimpton 322 – demonstrate the advanced level of Babylonian mathematical education by 1800 BC​.

YBC 7290 Tablet (Trapezoid Area)

The tablet YBC 7290 highlights the practical side of Mesopotamian mathematics, as it contains an exercise in computing the area of a trapezoid – a problem directly related to land surveying and field measurement in antiquity. This clay tablet, also from the Old Babylonian period (c. 1800–1600 BC) and now in Yale’s collection, has on its obverse a drawn trapezoid with cuneiform notations specifying the lengths of the bases and the non-parallel sides​. Specifically, one base is given as 2;20 (sexagesimal, i.e. 2 + 20/60 = 2.333... in some length unit), the other base as 2;00 (2 units), and both slanted side lengths are 2;20​. The resulting area written within the figure is 5;03 20 (5 + 3/60 + 20/3600 in sexagesimal) square units​. From these numbers, we deduce the scribe applied a formula equivalent to taking the average of the two side lengths and the average of the two bases, then multiplying those averages to find the area​. In modern terms, this approximates the trapezoid area formula $A = \frac{(B_1+B_2)}{2} \times h$, except here the “height” $h$ was effectively estimated as the average of the slanted sides (a practical approach when perpendicular height was not directly measured). In essence, Babylonian surveyors used a rule of thumb for quadrilaterals: the area is the product of the average length of the sides and the average length of the bases​. While this formula is not exact for every trapezoid unless it is isosceles, it provides a reasonable approximation in many cases and would have been sufficient for practical survey needs.

YBC 7290 reveals how ancient scribes computed land areas – a task of prime importance for taxation and agriculture. At the same time, it showcases an abstract generalization: the scribe did not treat each field uniquely but applied a general formula (an average) that could be used in multiple situations. This indicates a recognition of underlying patterns in geometry: essentially, an empirical mathematical formula had been formulated. The presence of a figure diagram (with no text) on the reverse side​ suggests that the student also practiced drawing the shape, not just the arithmetic – a detail that provides insight into the teaching method: combining geometric drawing with calculation. This tablet, roughly contemporary with the previous examples (~18th–17th century BC), underscores that Mesopotamian mathematics included geometric rules with practical applications. Such ancient surveying rules, like the trapezoid area method, are forerunners of later geometric formulas and demonstrate how Mesopotamian scholars were beginning to articulate general principles about space and measurement.

YBC 11120 Tablet (Circle and π)

The tablet YBC 11120 from the Yale collection takes us into the study of circular measurements – specifically, the area of a circle. This Old Babylonian tablet (c. 18th–17th century BC) shows how the ancients calculated the area of a circle given its circumference. On the tablet, a circle is drawn accompanied by numerical annotations: the circumference is given as 1;30 (in some unit of length), and the square of that circumference is noted as 2;15​. Using these, the scribes computed the area by applying the formula $A = (;05) \times (\text{circumference})^2$, where “;05” in sexagesimal is 5/60 = 1/12​. In other words, they assumed the area of a circle equals one-twelfth of the square of its circumference. Translating this to modern notation: $A = \frac{1}{12} C^2$. We know that actually $A = \pi r^2$ and $C = 2\pi r$, so $A = \frac{C^2}{4\pi}$. Comparing with the Babylonian formula $A = \frac{C^2}{12}$, we see this corresponds to taking $\pi = 3$ (since $4\pi$ in the denominator becomes 12 when $\pi=3$)​. Indeed, the Babylonians often assumed $\pi \approx 3$ in practical calculations – for example, they typically took the circumference as 3 times the diameter, using the convenient approximation of 3 in most cases. In YBC 11120, following this rule, with a circumference of 1;30 (which is 1.5 in decimal), they obtained an area of 0;11 15, which equals 0 + 11/60 + 15/3600 = 3/16 = 0.1875 in decimal​. This is precisely the result given by $1/12 \times (1.5)^2$, confirming the use of the 1/12 constant (i.e. $\pi=3$). Notably, the scribes themselves indicate on the tablet that the factor 1/12 (written as ;05) was a “standard constant” employed in Babylonian computation​.

Despite this simplified value of $\pi$, the important fact is that the Babylonians had a procedure for finding a circle’s area – they understood that the area is related to the square of the perimeter (or equivalently the square of the diameter). YBC 11120 shows that scribes could adapt their methods (used for squares and rectangles) to curved shapes by introducing a constant into the calculation. It also suggests that although they usually used 3 for $\pi$, they were aware this was an approximation. In another tablet – discussed next, from Susa – we find that in special cases they employed a more refined value, $\pi \approx 3.125$ (25/8), to achieve higher accuracy​. Taken together, these circle computations reveal a blend of practicality and theoretical curiosity among Mesopotamian scholars: practical, because using 3 for $\pi$ was convenient for everyday purposes, but also theoretical, because there is evidence that learned scribes experimented with improving that constant when greater precision was desired.

The Susa Tablet (π ≈ 3.125)

The Susa tablet discovered in 1936 near Susa (in ancient Elam, modern southwest Iran) shows that Mesopotamian mathematicians did not always settle for π = 3, but sometimes pursued greater accuracy for π​. This tablet – published by E. M. Bruins in 1950 and later fully in 1961 by Bruins & Rutten – dates to the Old Babylonian period (19th–17th century BC) and is interpreted to yield π approximately 3.125, or $25/8$​. Specifically, the tablet’s text describes a geometric relationship: it states that the ratio of the perimeter of a regular hexagon to the circumference of the circumscribed circle equals a certain number. That number is given as 0;57 36 in sexagesimal (57/60 + 36/60²)​ – which in decimal is 0.96. This value essentially represents the fraction of the circle’s circumference relative to the hexagon’s perimeter: for a regular hexagon inscribed in a circle, the perimeter of the hexagon is 6r (where r is the radius), while the circle’s circumference is $2\pi r$. The ratio of these is $\frac{6r}{2\pi r} = \frac{3}{\pi}$. The tablet thus effectively asserts $\frac{3}{\pi} = 0.96$, which leads to $\pi = \frac{3}{0.96} = 3.125$​. Indeed, $25/8 = 3.125$, a value that differs from the true π (~3.1416) by only about 0.5%​. This improved approximation of π (3 + 1/8) is remarkable: although slightly low, it is significantly more accurate than the simple 3 that was normally used.

The Susa mathematical tablet underlines that there was a drive for theoretical exploration and precision when the context allowed it. While in everyday transactions or routine calculations the Babylonians deliberately used rounded values (like 3 for π) for simplicity, here we see a learned scribe engaging in a more nuanced geometric analysis. By examining a hexagon and a circle, he was essentially undertaking an early method to refine π via geometric comparison. This approach is reminiscent of similar efforts much later – for example, Archimedes in Greece (circa 3rd century BC) famously used inscribed and circumscribed polygons to approximate π. It appears, then, that the germ of such ideas was present in the ancient Near East over a millennium earlier.

We cannot be certain how, or if, such knowledge was directly transmitted to other cultures. However, Susa, being part of the Elamite and Babylonian cultural sphere, was later incorporated into the Persian Empire, which in turn interfaced with the Greek world. It is thus possible that the accumulated mathematical experience of Mesopotamia – including advanced notions of π and other constants – reached the Greeks indirectly through Persian rule and translations. Regardless of the transmission path, the very existence of this “π tablet” from Susa is evidence that the quest for mathematical accuracy and theoretical understanding had begun well before the classical era, within the civilizations of the ancient Near East.

Practical and Theoretical Knowledge in Mesopotamian Mathematics

The above examples show that Mesopotamian mathematics embodied both practical problem-solving and abstract theoretical exploration. On the one hand, tablets like YBC 7290 (trapezoid area) address immediate practical needs: measuring land, calculating areas for agriculture or construction, and handling economic computations (such as distribution of goods or interest on loans) were part of daily life, and mathematical methods were developed to serve these ends. Indeed, many Babylonian tablets are not “theorems” but tables and word problems related to commercial arithmetic, accounting, surveying, and engineering. On the other hand, we see tablets like Plimpton 322 and YBC 7289 delving into purely numerical or geometric ideas (e.g. Pythagorean triples, √2) with no obvious everyday application. The ancient scribes appeared comfortable moving between the real and the abstract: they could solve a concrete problem (such as a field’s area) and also engage with mathematical relationships for their own sake, showing a notable scientific curiosity. In fact, many of their “theoretical” problems were presented in the guise of practical riddles or story problems – for example, what we recognize today as quadratic equations appear in texts as problems about dividing plots of land or building projects – a didactic technique that allowed scribes to study abstract mathematics under the cover of realistic scenarios​.

This blending of utility and theory is closely tied to the educational system of ancient Mesopotamia – the so-called “tablet house” (edubba) scribal schools. There, student scribes first learned basics: they memorized multiplication tables, reciprocal tables, and metrological (measurement) lists needed for bureaucracy and commerce. As they advanced, however, they tackled complex problems requiring ingenuity and generalization. For instance, from Old Babylonian tablets we know they developed general methods for solving equations (algebra) framed as narrative problems: e.g. “finding the sides of a rectangle given its area and sum of sides,” “distributing grain with certain ratios,” etc. In such problems, scribes used equivalent transformations and steps that are essentially forms of algebraic solutions. As the historian Jens Høyrup has noted, even a fundamental discovery like the rule of the right triangle (what we call the Pythagorean theorem) likely emerged from the practical environment of lay surveyors – perhaps a scribe trying to compute land boundaries discovered the relationship, sometime between 2300 and 1825 BC, and then the knowledge was generalized and entered the teaching texts​. Once a new mathematical principle was found, it became part of the tradition and curriculum. This explains how we find the Pythagorean rule applied in seven different tablets from cities like Eshnunna, Sippar, and Susa​ – evidence that it had been incorporated as a broadly known result. In summary, the earliest mathematical tablets reveal a culture in which practical know-how coexisted with profound theoretical thought. The Mesopotamian mathematicians laid down foundational principles of number and measurement, achieving a level of abstraction and generalization that would (directly or indirectly) influence later developments in mathematics.

Legacy and Influence on Later Civilizations

The mathematical knowledge of Mesopotamia and Elam did not vanish with the passing of those civilizations – it influenced neighboring cultures and eventually became part of the broader stream of mathematical development. Several aspects of Babylonian mathematics appear to have been known or adopted by later peoples. One clear example is the division of the circle into 360 degrees and the use of the base-60 subdivision of time (minutes and seconds), which was taken up by the Greeks and remains in use to this day – a direct inheritance from Babylonian practice. During the Achaemenid Persian Empire (6th–4th century BC), which included Mesopotamia, and especially after Alexander the Great’s conquests (4th century BC), Babylonian astronomical and mathematical knowledge became accessible to Greek scholars. Greek astronomers such as Hipparchus and later Ptolemy explicitly utilized Babylonian records and sexagesimal computational methods for their calculations of planetary motions and celestial phenomena. It is well documented that Hellenistic astronomy heavily relied on the data and mathematical tools developed by the Babylonians (for example, lunar eclipse cycles and planetary position tables)​.

In the realm of pure mathematics, the transmission of knowledge is less directly attested, but there are suggestive hints and parallels. The famous Pythagorean theorem, for instance, was formally proved in Greek mathematics (in Euclid’s Elements during the 4th century BC) and attributed to Pythagoras (6th century BC), yet Babylonian tablets like Plimpton 322 show that the relationship $a^2 + b^2 = c^2$ was known and used over a thousand years earlier​. It is quite possible that scholars such as Thales of Miletus or Pythagoras himself – who, according to tradition, traveled eastward – encountered advanced Babylonian mathematics during their visits to Babylon (or via Egypt, which was also influenced by the Near East). Ancient authors describe Babylon as a center of astronomy and learning – disciplines inherently tied to mathematics. The Greek historian Herodotus and later writers acknowledged that the Greeks borrowed certain mathematical ideas from older cultures like Egypt; by the same token, knowledge from Mesopotamia likely found its way into Greek thought through the interconnected networks of the ancient world.

One concrete pathway of influence was astronomy: Babylonian astral science, with its sophisticated mathematical models, deeply informed Greek astronomy in the Hellenistic period. Concepts such as the zodiac, accurate eclipse prediction, and mathematical tables of planetary positions in Greece were built upon centuries of Babylonian observations and calculations. Moreover, some technical terminology and methods (for example, the use of reciprocal tables or certain algebraic solution techniques) may have traveled via scholars in the Seleucid era or via translations in major centers (like the Library of Alexandria). While Greek mathematicians developed a different style – more geometric and axiomatic – the foundational ideas, such as place-value notation, general algebraic problem-solving, and certain numeric constants, were part of the cumulative knowledge of the Near East that preceded them​.

In conclusion, Mesopotamian and Elamite mathematics provided an early blueprint for advanced mathematical thinking. This legacy was transmitted through time by both direct contact and the enduring utility of their innovations (for example, the sexagesimal system for measuring time and angles that we still use today). The ancient Greeks, and subsequently other civilizations, built upon this foundation, whether explicitly or implicitly. The clay tablets of Mesopotamia stand not only as archaeological artifacts but also as testimony to a seminal chapter in the global history of mathematics – one that set the stage for later mathematical achievements in the classical world and beyond.

References

  • Eleanor Robson, Mathematics in Ancient Iraq: A Social History. Princeton University Press, 2008.

  • Otto Neugebauer & Abraham Sachs, Mathematical Cuneiform Texts. American Oriental Society, New Haven, 1945.

  • E. M. Bruins & M. Rutten, Textes mathématiques de Suse. Mémoires de la Mission Archéologique en Iran, vol. 34, Paris: P. Geuthner, 1961.

  • Eleanor Robson, Neither Sherlock Holmes nor Babylon: A Reassessment of Plimpton 322. Historia Mathematica 28 (2001): 167–206.

  • Jöran Friberg, Unexpected Links Between Egyptian and Babylonian Mathematics. World Scientific, 2005.

  • Jens Høyrup, Lengths, Widths, Surfaces: A Portrait of Old Babylonian Algebra and Its Kin. Springer, 2002.

  • Victor J. Katz (ed.), The Mathematics of Egypt, Mesopotamia, China, India, and Islam: A Sourcebook. Princeton University Press, 2007.

  • Frank J. Swetz, Mathematical Treasure: Old Babylonian Area Calculation. Convergence (MAA), March 2014.

  • David Gilman Romano, Athletics and Mathematics in Archaic Corinth: The Origins of the Greek Stadion. American Philosophical Society, 1993.

  • Petr Beckmann, A History of Pi. St. Martin’s Press, 1971.

  • “Before Pythagoras: The Culture of Old Babylonian Mathematics.” Exhibition Catalog, Institute for the Study of the Ancient World (NYU) & Yale Babylonian Collection, 2010.

  • Marcus du Sautoy (presenter), “The Language of the Universe.” The Story of Maths (Episode 1). BBC Four, 2008.

In Mesopotamia Tags The Archaeologist Editorial Group, Dimosthenis Vasiloudis

The Mysterious Inscription of the Negau B Helmet and the Relationship Between Runic and Italic Alphabets

May 4, 2025

By Dimosthenis Vasiloudis



Historical Context and Archaeological Background

In 1811, a hoard of 26 bronze helmets was discovered at Ženjak (Negau), in what is today Negova, Slovenia​. These helmets date to the late Iron Age (ca. 450–350 BC) and are of the Etruscan vetulonic type, indicating they were Etruscan-made but found far north of Etruria​. The cache appears to have been ritually buried around 50 BC, possibly as an offering shortly before the Roman annexation of the region. Notably, helmets of this “Negau type” were often worn by priests or dignitaries by that time, suggesting the deposit had ceremonial significance​. This find reflects a cross-cultural milieu: Etruscan-crafted objects in a region inhabited by Celtic tribes (the Noricum area) and in proximity to Rhaetian and Illyrian cultures. It was in this context that one helmet, known as Negau B, bore a short but fascinating inscription.

The Negau B Inscription: Script and Reading

The Negau B helmet inscription is incised on the bronze helmet and is written right-to-left in a Northern Etruscan (North Italic) alphabet​. This script, sometimes called a sub-Alpine or Rhaetic alphabet, was derived from Etruscan and was used in the surrounding regions of Rhaetia, Noricum, Veneto, and Pannonia in the last centuries BC​. The inscription can be transliterated as: hariχastiteiva (often segmented as Hariχasti Teiva)​. (The symbol χ here represents a sound like [ḱ/h] or possibly a g, since Etruscan script lacked a distinct letter for voiced g.) The text is brief – essentially two word-like units – and lacks obvious dividers, though it is generally read as two terms.

Alphabetic characteristics: The letters belong to a North Italic epigraphic tradition, not the runic alphabet; earlier scholars once speculated the Negau inscription might be an proto-runic text, but it is now agreed to be in a genuine North Etruscan script that pre-dates the creation of the runes​. The letter forms closely resemble those of the Magrè alphabet (a Northern Etruscan variant), consistent with other inscriptions found in the Eastern Alps. The writing’s right-to-left direction is typical of Etruscan and Rhaetic writing, and the inscription shows no word-final inflections or punctuation marks. Due to the helmet’s corrosion and archaic letter-forms, reading the text has been challenging, and various interpretations have been proposed over the years.

Reading and transliteration: Most scholars today interpret the text as the personal name Harigasti followed by a second term teiva​. In epigraphic transliteration, it is often given as hariχas-ti teiva, where the -ti likely corresponds to the end of the name Hari-gastiz in Proto-Germanic (with -z not written). The entire inscription is thus read as Harigasti teiva, with a probable meaning relating to a person named Harigast. As we will see, the exact translation of teiva is debated, but this pairing of a name plus an epithet is the prevailing reading.

Linguistic Significance: Harigastiz, teiva, and the Germanic Sound Shift

If the Harigasti teiva reading is correct, the Negau B text holds great linguistic significance as an early Germanic-language inscription. Harigast (Proto-Germanic Harigastiz) is almost universally recognized as a Germanic personal name​. The name can be analyzed as hari- “army” and -gastiz “guest/stranger” – a compound structure typical of Germanic names. Its presence in a likely 2nd–1st century BC context makes it one of the earliest attestations of a Germanic name in writing. It suggests that Germanic-speaking individuals were present in or around the Alpine region by that time, interacting with literate cultures. Indeed, the village of Ženjak (Negau) was later (briefly) renamed Harigast during the Nazi period due to the prominence of this name on the helmet​, underscoring its interpretation as a Germanic personal name.

The second term teiva is what elevates the inscription from onomastic interest to broader linguistic importance. Scholars have proposed that teiva is a Germanic word cognate with Latin deus (“god”) – deriving from Proto-Indo-European deiwo-, “divine being, god”. In Proto-Germanic, the expected reflex of PIE d (as in deiwo-) is t (as in teiwaz) according to Grimm’s Law, the first Germanic sound shift. Thus, teiva is interpreted as related to Proto-Germanic *teiwaz “god”​. If so, the Negau helmet provides tangible evidence of Grimm’s Law in action: the Latin word deus (from deiwo-) corresponds to teiwaz > teiva in Germanic, demonstrating the shift of /d/ to /t/. This would make teiva effectively meaning “divine one” or “godly”. Tom Markey (2001) further argues that in this context teiva should be understood as “priest”, i.e. one who is god-related​. In other words, Harigast(i) teiva could mean “Harigast the priest” – paralleling how other Negau helmets list a person’s name followed by a religious or honorific title​.

From a historical linguist’s perspective, the implications for dating Grimm’s Law are significant. If the inscription indeed dates to the 3rd–2nd century BC (as many archaeologists maintain​), then the Germanic sound shift (which turned Proto-Indo-European d into t, etc.) must have been in effect by that time​. This pushes the timeline for Proto-Germanic differentiation well back into the mid-1st millennium BC. In fact, the Negau B text would be the earliest known example of a shifted Germanic word​, earlier than the next earliest evidence (e.g. Roman-era Germanic names or the 1st century AD testimony of Tacitus) by at least two centuries​. It’s essentially a pre-runic Germanic inscription, showing that Germanic speakers not only existed but were engaging with writing systems long before the Roman era.

Inscription on helmet Negau B. The inscription reads right-to-left.

Peter1936F - Own work

Interpretative Debates and Competing Theories

Despite the elegant interpretation of Harigasti teiva as “Harigast the priest” or “Harigast (the) divine,” there has been considerable scholarly debate. Competing interpretations highlight the challenges of reading such a short inscription in an ancient script:

  • Tom Markey’s Germanic–Rhaetic Thesis (2001): Markey’s analysis is one of the most comprehensive modern studies. He accepts Harigasti teiva as a Germanic phrase, but suggests the inscription reflects a Germanic phrase mediated through Rhaetic​. Rhaetic was the language of the Alpine region, written in the same North Etruscan script, and likely spoken near Negau. Markey argues that the carver or context may have been Rhaetic, which could explain certain anomalies – notably the absence of an expected grammatical ending on Harigasti. In Proto-Germanic, a masculine name like Harigastiz might bear a final -z in the nominative, yet the inscription shows Harigasti with no -z. Markey proposes that a Rhaetic scribe inscribing a Germanic name might have omitted the unfamiliar ending​. He also draws parallels to the inscriptions on another helmet (Negau A): that helmet bears four short inscriptions which Markey reads as personal names with epithets or titles (e.g., Dubni banuabi “of Dubnos the pig-slayer”; sirago turbi “astral priest of the troop”; Iars’e esvii “Iarsus the divine”)​. Most of those names are Celtic, followed by what seem to be honorific or religious designations. By analogy, Hariχasti teiva would fit the same pattern: Harigast (name) followed by teiva (title)​. Markey thus envisions a multilingual interface at Negau, where a Germanic individual named Harigast was recorded by a Rhaetic (or heavily Rhaetic-influenced) scribe in an Etruscan script amid a primarily Celtic-speaking community​.

  • Alternate Readings (Rhaetic or Venetic): Prior to the Germanic interpretation gaining favor, some scholars suggested non-Germanic readings. For example, A. Must (1957) interpreted the text as Hariχas Titieva, seeing it not as Germanic at all but as a Rhaetic personal name​. In Must’s view, the first element Hariχas could be Indo-European (but perhaps Venetic or another Alpine language rather than Germanic), and Titieva as an Etruscan or Rhaetic word – essentially positing a mixed-language name phrase​. This kind of interpretation underscores that with such limited context, scholars can arrive at very different linguistic attributions (Germanic vs. Celtic vs. Rhaetic), depending on how they assign sounds to the letters and parse the words. However, the identification of Harigast as a Germanic name has become “almost universally” accepted in recent decades​, largely due to the consistency of hari- and -gast elements with known Germanic lexicon.

  • Jeremy J. Smith’s Critique (2009): Historical linguist Jeremy J. Smith urges caution about using the Negau helmet as proof of Grimm’s Law or early Germanic writing. He acknowledges that teiva has been argued as cognate with Latin divus/deus, indicating a d > t shift, and that many date the inscription to the 3rd–2nd century BC​. “The Negau helmet inscription is often taken as evidence for the operation of Grimm’s Law,” he notes​. However, Smith outlines several problems: (1) The dating is uncertain – while the helmet itself is 4th century BC, the inscription could have been incised later (some suggest even in the 1st century BC). Without a precise context, claiming it as 3rd century BC linguistic evidence is tricky. (2) The interpretation is not ironclad – Smith points out that teiva might not mean “priest” at all; it could be a second name or an epithet. He mentions the possibility that Harigasti Teiva might be understood on the model of Roman honorifics, akin to calling someone “Divine Harigast” (cf. divus Augustus, “the divine Augustus”)​. In that case, teiva could mean “divine” rather than specifically “priest,” and Harigast might even be an epithet or deified figure, rather than a literal person’s name + title. (3) Cultural context: Smith also raises an archaeological objection – traditionally, Germanic warriors of that era did not wear bronze helmets, preferring leather caps for mobility​. The Negau helmets are Etruscan-made and were likely part of a Celtic cultural context. How did a Germanic name appear on one? Smith notes that Germanic mercenaries serving Celtic chieftains (a practice recorded by classical authors) could explain it​. A Germanic warrior or priest named Harigast in a Celtic host might have adopted local equipment and been commemorated with an inscription in the local script. In sum, Smith does not deny the Germanic reading, but he cautions that using Negau B as “conclusive evidence” of the sound shift or of a broad Germanic literacy is problematic​. It’s a tantalizing data point, but one with uncertainties.

In light of these debates, the consensus today tentatively accepts Harigasti teiva as a Germanic phrase (hence its frequent citation in linguistic literature), but scholars remain careful about the interpretation of teiva and the broader implications. What is clear is that the script is North Italic, not runic, and thus the Negau inscription, while Germanic in language, “precedes the formation of the Runic alphabet”​. It represents a special instance of early Germanic writing outside the later runic tradition.

North Etruscan to Runic: The Question of Alphabetic Transmission

The Negau B helmet inscription holds a pivotal place in discussions of the origin of the runic alphabet. It is a concrete example of a Germanic-language text written in an Italic alphabet, suggesting a possible link between the alphabets of the ancient Italic peoples (like the Etruscans or Venetii) and the Runic script developed by Germanic peoples in the later centuries. Scholars have long proposed that the Elder Futhark runes (the oldest runic alphabet, in use by ~150–400 AD) were inspired by or even directly borrowed from Northern Etruscan alphabets​. The Negau B inscription, “dating to the 2nd century BC”, in a north Etruscan script but spelling a Germanic name (Harigast), is often cited as supporting evidence for this North Etruscan thesis​.

Key points in examining the runic connection include chronology, letter forms, and pathways of cultural contact:

  • Chronology: If Germanic peoples were acquainted with writing by the 2nd or 1st century BC (as Negau B implies), there was a substantial time window for the adaptation of an alphabet before the first known runic inscriptions (~2nd century AD). The transmission process remains uncertain (as no “intermediate” Germanic inscriptions are known from 0–100 AD), but two main scenarios are debated​. One hypothesis is that knowledge of writing spread via West Germanic tribes along the Upper Rhine and Danube (contacts with Celto-Etruscan communities), eventually reaching the North; another posits East Germanic groups (like the Goths) learned writing from Alpine or Balkan interactions and carried it northward​. In either case, the late Iron Age cultural interactions evidenced by Negau make it plausible that Germanic elites had exposure to alphabets well before Roman influence. In fact, Giuliano and Larissa Bonfante have argued that Germanic peoples could have adopted a North Italic alphabet (specifically the Venetic script) as early as the 3rd century BC or earlier​. They note that after the Roman conquest of Cisalpine Gaul (200+ BC), the Venetic script fell out of use in its home region, potentially leaving an opening for its transfer to neighboring groups​.

  • Letter Form Parallels: Scholars who support a North Italic origin for runes point to the graphical similarity of many rune shapes to letters in Alpine alphabets. For instance, the Elder Futhark letters ᚠ (fehu = F), ᚱ (raido = R), ᛃ (jera = J) and others closely resemble characters found in Alpine (Rhaetic) inscriptions and Etruscan writing. A study by Bernard Mees (2000) highlighted that only a few runes (perhaps 5 out of 24) have no clear counterpart in the Bolzano script (a form of Rhaetic alphabet), meaning the majority of runes do correspond in form to North Italic letters​. The angular, stroke-based form of runes, often thought to be an adaptation to carving on wood, is also characteristic of North Italic epigraphy on stone and metal, where straight lines are dominant and curves are minimized​. The Negau helmet’s letters, for example, are angular and suited to incising on metal. Such similarities strengthen the case that Germanic runes were not invented entirely from scratch or purely on the model of the Latin alphabet, but rather were inspired by the older alphabets of northern Italy which Germanic individuals encountered. The Negau B inscription shows that at least one Germanic individual did utilize a North Italic script. It is easy to imagine that over time, Germanic scribes might have adapted those letters to their own needs, eventually creating a distinct script (the runic futhark) by the early centuries AD.

  • Possible Transmission Paths: The cultural conduit for this alphabetic transmission likely involved trade, war, and migration. The Eastern Alps in the late Iron Age were a crossroads: Celtic tribes (like the Taurisci and Norici) traded with the Etruscans and Romans, Rhaetian peoples inhabited alpine valleys, and Germanic tribes (such as the Suebi, and later the Marcomanni or even the Cimbri) periodically moved southward or served as mercenaries. We know from Roman historians (e.g. Diodorus Siculus) that Celts employed Germanic warriors by the 1st century BC​. These warriors could have learned of writing during their service. Another possibility is through diplomatic gifts or loot: an object like an inscribed helmet or a sword with an inscription could have reached Germanic territory and been imitated. By the time the first runic inscriptions appear in Denmark and northern Germany (e.g. the Meldorf fibula, c. 50 AD, or the Vimose weapons, 2nd century AD​), the concept of writing had likely been percolating through Germanic societies for generations. The Negau B helmet stands as tangible evidence of such early transmission – it shows that a Germanic name was rendered in an Italic script in a context predating any known runes. Thus, it bridges the gap between the Italic alphabetic tradition and the emergent Germanic runic tradition. As Jeremy J. Smith observes, “the North Italic system seems to derive from that used by the ancient Etruscans… North Italic lettering is seen by many scholars as a source – possibly the source – of the Germanic futhark”, given the clear parallels between the two systems​.

In summary, the Negau B inscription strongly supports the idea that the Italic alphabets (Etruscan, Rhaetic, Venetic) were the blueprint for the runic alphabet. It provides a chronological anchor in the 2nd–1st century BC for when Germanic peoples first accessed alphabetic writing. Combined with other evidence, it suggests the runes were likely created not in isolation, but through cultural contact and adaptation of these earlier scripts.

Cultural and Linguistic Interactions in the Late Iron Age

Both the inscription and the archaeological context of Negau B offer a rich picture of cultural interaction among Italic, Celtic, Rhaetic, and Germanic peoples. The helmet itself is Etruscan-crafted, the practice of dedicating helmets is common in Celtic ritual, the script used is North Italic (associated with Etruscan/Rhaetic writers), the content is arguably Germanic language, and it was buried in a region inhabited by Celts under looming Roman domination. This convergence highlights a multilingual and multi-ethnic environment in the Eastern Alpine late Iron Age.

Archaeologically, the presence of Celtic names with Latin or Etruscan titles on the other Negau helmets (e.g. Iarsus the divine on Negau A) suggests a fusion of Celtic personal names with Italic linguistic influence (the word esvii “divine” appears to be adapted from Latin divius). In that same setting, the name Harigast appearing shows that Germanic individuals were part of this cultural sphere. Perhaps Harigast was a Germanic druid or priest serving in a Celtic community, or a mercenary captain accorded an honorific epithet (teiva). The inscription might have been a dedication of the helmet to a sanctuary, identifying the giver or honoree. The fact that a Rhaetic/Etruscan script was used implies that someone in the community had the knowledge of writing – likely learned from the Italic world – and applied it to record names of varied linguistic origin.

Linguistically, the Negau B text exemplifies how languages can influence each other in contact zones. A Germanic phrase was written with letters designed for Etruscan/Rhaetic, requiring phonetic compromises (such as using χ for /g/) and possibly dropping Germanic inflections. It underscores that writing systems are not bound to a single language: scripts often jump cultural boundaries through trade or conquest. Here, writing was a medium shared across cultural lines – a Latin or Etruscan trader might have taught a local Celt or Germanic how to inscribe letters. The flow of religious concepts is also hinted: if teiva indeed relates to teiwaz “god”, it connects to a Proto-Indo-European concept of divinity (cf. Celtic Teutates, Latin deus) shared among different groups. Some scholars even speculate that “Harigast” might have been deified or mythologized, though evidence is scant. What is clear is that the Germanic pantheon would later include a war-god Tiwaz (Old Norse Týr), whose name comes from the same root as teiva. Thus, the Negau inscription might reflect not just linguistic but also religious syncretism, blending a Germanic name with a title derived from a pan-Indo-European word for a deity.

From a historical perspective, the Negau helmets (and B in particular) illuminate a period of dynamic interaction just before the Roman era. We see a snapshot of coexistence and exchange: Celtic chieftains, Italian traders, Rhaetian scribes, and Germanic warriors all in contact. The Roman conquest would soon overlay a new layer of cultural influence (Latin language and writing), but the inscriptions of Negau capture a pre-Roman snapshot of cultural globalization in antiquity. These findings align with other evidence of cross-regional links, such as Celtic mercenaries in Etruscan armies, or Germanic materials in Celtic graves.

Conclusion

The inscription of the Negau B helmet, though only a few characters long, has outsized importance for both archaeology and linguistics. It provides a rare glimpse of the Germanic language in the 2nd–1st century BC and demonstrates that Germanic speakers had access to writing well before the runic script was developed. If read as Harigast teiva, it likely records “Harigast the priest” or “Harigast the divine,” marking possibly the earliest recorded Germanic personal name and an attestation of the Germanic sound shift (Grimm’s Law) in progress​. The debates surrounding its interpretation – Germanic vs. Rhaetic, priest vs. god, early vs. late date – highlight the careful interdisciplinary detective work required to understand such ancient texts. Regardless of the exact reading, Negau B underscores the intimate connections between the Italic alphabets and the runic alphabet that would arise centuries later, supporting the view that the runic letters were inspired by North Italic scripts​.

Finally, the Negau B helmet stands as a testament to the cultural interactions of the late Iron Age: a single artifact encapsulating Etruscan artistry, Celtic ritual practice, Rhaetic writing, and Germanic language. It reminds us that ancient Europe was not a set of isolated ethnic blocks, but rather a web of contacts and exchanges. The Harigast inscription, therefore, is more than just an epigraphic puzzle – it is evidence of a protohistoric multicultural encounter, one that sowed the seeds for the rich tapestry of European linguistic and cultural development in the centuries that followed.

Sources:

  • Teržan, Biba (2012). “Negau (Negova), Slowenien: Benedikt V,” in Sievers, Urban & Ramsl (eds.), Lexikon zur keltischen Archäologie.

  • Markey, Tom (2001). “A Tale of Two Helmets: The Negau A and B Inscriptions,” Journal of Indo-European Studies 29 (1–2): 69–172. (Interpretation of Harigasti teiva as Germanic, with Rhaetic mediation)​

  • Smith, Jeremy J. (2009). Old English: A Linguistic Introduction. Cambridge UP, p. 125.

  • Mees, Bernard (2000). “The North Etruscan Thesis of the Origin of the Runes,” Arkiv för Nordisk Filologi 115: 33–82.

  • Bonfante, Larissa & Bonfante, Giuliano (2002). The Etruscan Language: An Introduction.

  • Wikipedia contributors. “Negau helmets.” Wikipedia, The Free Encyclopedia, last modified 2023.

In Europe Tags Dimosthenis Vasiloudis, Archaeology's Greatest Finds

One of Antiquity’s Seven Sages Had a Darker Past Than We Thought

May 4, 2025

Periander of Corinth is traditionally ranked among the Seven Sages of Antiquity — a group celebrated for their wisdom, prudence, and lasting contributions to early civilization. Alongside Thales, Solon, Pittacus, and others, his name has endured as a symbol of ethical guidance and philosophical insight. Yet, Periander’s life tells a much darker story — one that feels less like a moral fable and more like a Greek tragedy.

Born in the 7th century BCE, Periander was the son of Cypselus, the first tyrant of Corinth, who had seized power from the ruling aristocracy of the Bacchiadae. Periander inherited this legacy, ruling with an iron fist. His reign, though marked by harsh control, was also an era of great prosperity. Under his leadership, Corinth flourished into an economic powerhouse, the arts and poetry thrived, and monumental infrastructure projects — like the Diolkos, a groundbreaking overland ship transport system — transformed the city.

But this brilliance came at a steep cost.

Periander was widely accused of brutality and extreme violence. In one of the most chilling accounts, he is said to have killed his wife, Melissa, in a fit of rage — striking her fatally and throwing her down a staircase. Later, overcome by guilt, he reportedly experienced torment so profound that some ancient sources — notably Herodotus — hint at disturbing necrophilic implications in their cryptic descriptions.

The couple’s son, Lycophron, fled to Corcyra (modern-day Corfu) upon learning the truth of his mother’s death. Periander pleaded with him to return and succeed him, but the young man refused. In a desperate attempt to bring him back, Periander offered to abdicate and go into exile himself. The people of Corcyra, horrified at the idea of the tyrant setting foot on their island, took drastic measures: they murdered Lycophron to prevent his return.

Periander’s response was nothing short of monstrous. He ordered the roundup of 300 children from Corcyra’s noble families and arranged to have them sent to Lydia to be castrated. However, the ship carrying the children made a stop on the island of Samos, where the local population intervened, setting the captives free and sparing them from a horrific fate.

And yet — despite these atrocities — Periander was remembered by many as a model ruler. His court was a hub of intellectual and artistic activity, hosting poets, craftsmen, and thinkers. He even authored a 2,000-line poem titled Maxims on the Human Condition. He supported artisanship, protected the arts, and introduced laws aimed at curbing extravagance and the arrogance of the wealthy.

History has long struggled with how to categorize him. Some scholars have speculated that there may have been two different men named Periander — one a ruthless tyrant, the other a thoughtful sage. Others argue that wisdom and violence are not always mutually exclusive. Aristotle, despite Periander’s authoritarian rule, still listed him among the Seven Sages. Plato, on the other hand, disagreed.

And so, Periander remains suspended between two legacies: a man who shaped his city yet shattered his own family; who built temples and plotted brutal revenge; who was both admired and reviled. In the end, he may have earned his place among the Sages not because of the life he lived — but perhaps in spite of it.

Anatolian Archaeology

Ancient Greek City Reveals Secrets of Sacred Athletic Contests — The Inscription That Surprised Archaeologists

May 4, 2025

Archaeological excavations in an ancient Greek city have uncovered compelling evidence that one of antiquity’s most intense athletic events — pankration — was held there during the 2nd century AD. Pankration, a brutal blend of boxing and wrestling, was one of the most renowned and demanding competitions of the ancient world.

The discovery was made during the 2024 excavation season in the mountain city of Cadyanda, located in the ancient region of Lycia at an altitude of 1,000 meters above sea level. Today, this area lies near the town of Fethiye in the Muğla province of southwestern Turkey. Led by Dr. Fatih Onur, the excavation team explored a 150,000-square-meter area and uncovered 30 new inscriptions.

Despite the wealth of archaeological remains in Cadyanda, the city had not been studied in depth — apart from a few rescue excavations carried out by the Fethiye Museum.

“This lack of research led us to begin a more systematic investigation of the ancient mountain city,” explained Dr. Onur. “It overlooks all of Fethiye. Strategically located, it offers views of every route leading north from the harbor. From the Classical period onward, it functioned as a critical crossroads.”

A Surprising Discovery

Anatolian Archaeology

Dr. Onur noted that a German team had conducted limited studies in the past, and that around 150 inscriptions are currently known from the site. These texts are key to understanding the city's history — particularly before the Roman period, which remains largely undocumented. However, the team did stumble upon an important clue regarding the city’s prosperity shortly before its decline and eventual abandonment.

“We realized this was a remarkable find,” said Dr. Onur. “The inscriptions revealed that, in the 2nd century, the city was actively organizing athletic competitions. We already knew that such events were common in many cities during this era. But what makes this case unique is the discovery that such intensive athletic activity was taking place in a city at such a high altitude.”

First Ever Mention of Pankration in the City

According to Dr. Onur, this was the first time that pankration had been referenced in an inscription from Cadyanda. “In this city, both wrestling and pankration are explicitly mentioned on the base of a statue honoring the games’ sponsor — a man who reportedly spent his entire fortune to host them,” he explained. “The inscription also refers to the restoration of the city’s old gymnasium — essentially, a revival of an important public institution.”

The gymnasium’s reconstruction was reportedly carried out by order of the city’s Senate, and victors in the competitions were awarded prizes.

“By examining the inscription, we learned that there had been a much older gymnasium that had fallen into disuse,” added Onur. “Its mention as ‘old’ during this period suggests it likely dates to the Hellenistic era — giving us further insight into the city’s development and infrastructure.”

“Sacred Games” and Economic Revitalization

While these contests — referred to as Hieroi Agones or “Sacred Games” — certainly provided entertainment, they served a deeper economic and civic purpose.

Dr. Onur emphasized that such games were crucial during times of financial instability in the Roman Empire. “These events weren’t just for show. They were organized to boost public morale and stimulate the local economy,” he explained. “People from the surrounding region would flock to the city to watch the contests. This influx created a festive atmosphere and, more importantly, revitalized commercial activity.”

In short, the games were a celebration with an economic function — a well-structured system that encouraged travel and kept the wider region economically and socially active.

Scientists Solve the Mystery of the Alpine Mummy

May 4, 2025

For centuries, the unusually well-preserved body of an 18th-century clergyman has been the subject of local legends, speculation, and mystery.

According to local lore, the body of the parish priest—believed to have died from an infectious disease—was moved from its original grave to the crypt of St. Thomas am Blasenstein, a small church in a village north of the Danube River in Austria.

The remarkably intact state of the cleric’s body, with skin and soft tissues preserved, has long attracted pilgrims who believed the remains might possess healing powers.

But centuries later, an object resembling a capsule discovered during an X-ray of the mummy suggested a darker possibility—poisoning. Now, a team of scientists has shed new light on the enigmatic life and death of the so-called “dried-up priest.”

The breakthrough came following water damage in the crypt, which led to renovations and gave researchers a rare opportunity to perform high-tech analyses on the centuries-old remains.

The mummy remains in the crypt of a small church, sparking tales and legends about the priest’s life and death – Photo: J. Wimmer

“We took the mummy for several months to examine it with our specialist teams using imaging scans and other methods. Meanwhile, there was time to restore the site. It was a win-win situation,” explained Professor Andreas Nerlich, a medical professor at Ludwig Maximilian University of Munich and lead researcher of the study.

Unlocking the Secrets of the Alpine Mummy

The mummy still rests in the crypt of the small church, continuing to inspire stories and speculation about the priest’s life and death.

Using CT scans, radiocarbon dating, and chemical analysis of bone and tissue samples, Nerlich and his team were able to confirm the mummy's identity and uncover the unique method that preserved the body in such exceptional condition.

A Preservation Mystery

With no visible signs of embalming, the remains of Franz Sidler von Rosenegg—an aristocratic priest who died in 1746 at the age of 37—were long thought to have been naturally mummified.

This made the results of the CT scan all the more surprising: the priest’s abdominal and pelvic cavities were packed with materials such as wood shavings, flax, and pieces of fabric. Additional toxicological tests revealed traces of zinc chloride and other elements.

“It was completely unexpected, because the outer body walls were totally intact,” Nerlich said.

To explain the contradiction—an untouched exterior with a packed interior—the team proposed that the materials had likely been inserted rectally. They believe the combination of absorbent and drying substances is what preserved the body so effectively, giving rise to the mummy’s nickname.

“The wood shavings and cloth would have absorbed bodily fluids. The zinc chloride would have had a drying effect and reduced bacterial activity in the intestines,” explained Nerlich, concluding that the preservation was not natural after all.

This method of mummification differs significantly from the well-known techniques of ancient Egypt, which typically involved cutting open the body. The procedure used on the priest has never before been documented in scientific literature, according to the study published in Frontiers in Medicine.

Nerlich suggests that while this method doesn’t appear in any known manuals from the era, it may have been a common practice in the 18th century—especially for preserving bodies that needed to be transported or displayed.

X-rays revealed a round structure about 1 centimeter in size inside the mummy’s abdomen, fueling a centuries-old theory that the priest had swallowed a poisonous capsule before his death – Photo: Msgr. Karl Wögerer, Kirchenstiftung Waldhausen/Strudengau

Gino Caspari, an archaeologist and author of The Book of Mummies: An Introduction to the Realm of the Dead, agrees. He believes that embalming techniques in the past were likely more diverse and widespread than previously thought.

Cause of Death Reconsidered

The findings also overturn long-standing theories about the priest’s death and burial. Contrary to earlier suspicions of poisoning, the study found no signs of toxic substances in his system. Instead, researchers now believe that the priest, a chronic smoker, died from advanced tuberculosis that led to acute pulmonary bleeding.

One X-ray from the year 2000 had revealed a small spherical object in the mummy’s abdomen—about one centimeter in diameter—which fueled theories of a swallowed poison capsule. However, Nerlich and his colleagues determined that the object, which had tiny holes at each end, was likely a bead from a rosary that became entangled in the embalming materials.

Moreover, the team found no evidence to support the idea that the body was first buried and then later relocated to the crypt. According to Nerlich, it’s far more likely that the priest’s remains were prepared for transport to his monastery, located 15 kilometers away—but for reasons lost to time, the journey never happened. The mummy stayed behind, entombed in the church crypt, preserving its secrets until now.

Amphipolis: Stunning Photos of the Ancient Tomb Captivate the Internet

May 4, 2025

Images of the ancient tomb in Amphipolis are taking the internet by storm, drawing global attention to one of Greece’s most intriguing archaeological discoveries. With its monumental architecture, striking sculptures, and mysterious past, the site continues to fascinate both historians and the general public alike.

Plato Chose Him as His Successor—But He Rejected His Master’s Theory

May 4, 2025

When Plato died in 347 BCE, he didn’t leave his Academy to just any student. He entrusted it to his nephew, Speusippus—the son of his sister Potone—a man who had accompanied him on his journey to Sicily and witnessed firsthand both his dreams and disillusionments. Yet, upon taking the reins of the Academy, Speusippus did something few could have imagined: he rejected Plato’s famous Theory of Forms.

Speusippus found the Theory of Forms vague and metaphysically unstable. Instead of abstract, ideal entities as the foundation of reality, he placed numbers at the center of the universe. For him, numbers—particularly the One and the Dyad—were neutral principles, mother and father of all existence, but devoid of moral or spiritual connotations. There was no “good” or “bad” inherent in them; they were simply the structural backbone of reality.

In Speusippus’ worldview, the universe was organized into a hierarchy of spheres—from the intangible realm of numbers to the material world and nature itself. Between these realms stood something sacred: the sphere of the soul, which he saw as immortal, autonomous, and superior even to the body. For Speusippus, classification was the first step toward understanding. Nothing could be defined in isolation; meaning only emerged through context.

Despite his intellectual rigor, Speusippus was known for his difficult personality and reclusive nature. He did not live within the Academy, possibly due to health issues or a personal decision to keep his distance. Nonetheless, he restructured the institution, introduced elements of scientific inquiry drawn from physiology, and promoted comparative studies of animals and plants—steps that seemed to pave the way for Aristotle’s later work.

Some scholars credit Speusippus with the authorship of Definitions, a philosophical lexicon. In a letter to King Philip of Macedon, he passionately defended Plato, going so far as to call him the son of Apollo—suggesting that while he may have rejected Plato’s theories, he still held deep reverence for the man himself.

Speusippus died around 339 BCE and was succeeded by Xenocrates. His work survives only in fragments, but his legacy endures as a reminder that even the most trusted successors may take their own philosophical path—and that faithful discipleship doesn’t require unquestioning agreement.

Was Pharaoh Khafre the builder of the Sphinx?

May 4, 2025

By Dimosthenis Vasiloudis


Long shrouded in mystery, the Great Sphinx of Giza is a colossal limestone statue, resembling the body of a lion with a human head. A mainstream consensus in Egyptology holds that the Sphinx was carved during the 4th Dynasty (Old Kingdom) reign of Pharaoh Khafre (c. 2558–2532 BC), who built the second-largest of the Giza pyramids. Most modern scholars identify the Sphinx’s face as Khafre’s and view the monument as an integral part of his pyramid complex​. This report looks at the proof that connects the Sphinx to Khafre and shares the views of top Egyptologists based on different types of evidence: historical texts, archaeological context, style analysis, inscriptions, and geological data. It also notes any significant academic debate (such as minority views attributing the Sphinx to Khafre’s relatives) and briefly contrasts alternative or fringe theories for context. Throughout, the focus is on the consensus of mainstream Egyptology rather than speculative claims.

Historical Records and Ancient Texts

No textual record from Khafre’s own time explicitly mentions the Sphinx or its construction – a point often noted by scholars. The original name or purpose of the statue was not recorded in surviving Old Kingdom inscriptions; in fact, the Sphinx complex appears to have been left unfinished at the end of Khafre’s reign, so a formal cult or dedication may never have been established​. As a result, later historical sources become key.

New Kingdom texts: By the New Kingdom (c. 1400 BC), the Great Sphinx had come to be revered as a manifestation of a solar deity. The most famous text is the Dream Stele of Thutmose IV, erected between the Sphinx’s paws around 1401 BC​. The Dream Stele describes how Prince Thutmose (not yet king) fell asleep in the shadow of the sand-obscured Sphinx and had a dream in which the god – identified with Horemakhet (Horus-in-the-Horizon) and Khepri (the morning sun) – promised him kingship if the sand were cleared​. Crucially, the inscription on this stele links the Sphinx to Khafre. The text is damaged, but when first translated it was noted that a royal cartouche appears in line 13, likely that of Khafre​. This “mention of…Pharaoh Khafre…has long been taken as confirmation that the same pharaoh built the Sphinx”​. In other words, Egyptians of Thutmose IV’s time seemingly believed the Sphinx was associated with Khafre, perhaps preserving a memory of its builder​. (Some have debated this reading – fringe writers suggest the hieroglyphs might not name Khafre – but the mainstream view accepts the original interpretation that Khafre is named on the Stele​.) Aside from the Dream Stele, other New Kingdom inscriptions refer to the Sphinx by epithets (Horemakhet, etc.) and record restorations. For example, Thutmose IV’s Stele itself was actually carved on a reused door lintel from Khafre’s nearby temple, suggesting a conscious effort to connect the monument to Khafre’s legacy​.

Later Egyptian records: Another Egyptian text often cited is the Inventory Stela (sometimes called the “Stela of Khufu’s Daughter”), likely from the much later 26th Dynasty (Saite period, c. 670–525 BC). It purports to record that Khufu (Khafre’s father) found the Sphinx already buried in sand and carried out repairs to honour it​. The stela even claims Khufu built a temple next to the Sphinx. If the claim is accepted at face value, it implies that the Sphinx predates Khufu, which contradicts the Khafre attribution. However, Egyptologists overwhelmingly consider the Inventory Stela to be pseudo-historical – a later fabrication or allegory, not a factual Old Kingdom record​. Its style of hieroglyphic writing and the deities mentioned point to a first-millennium BC creation—likely an attempt by Saite priests to legitimise local cults by backdating them to the Old Kingdom​. Even Gaston Maspero (a 19th-century Egyptologist) speculated the Inventory Stela might copy an authentic 4th Dynasty document, but this theory is viewed with strong scepticism today​. In summary, apart from New Kingdom references (which already associate the statue with Khafre), no ancient inscription firmly credits any other pharaoh with building the Sphinx. The lack of Old Kingdom text is generally attributed to the monument’s unfinished state and long periods of abandonment when it was covered by desert sands​.

Classical sources: Greek and Roman writers had limited knowledge of the Sphinx’s origins. Herodotus (5th century BC) notably does not mention the Sphinx in his description of Giza’s monuments, possibly because it was once again buried by his time. Later writers, like Pliny the Elder (1st century AD), did mention the Sphinx but only as a marvel; Pliny repeats a folk belief that it was a tomb of a king named “Harmachis” (a Hellenised form of Hor-em-akhet) – indicating that even in antiquity its true history was obscure. These classical anecdotes neither confirm nor refute Khafre’s involvement; they mainly underscore that the Sphinx’s origin was a mystery even to later Egyptians and Greeks, reinforcing the importance of archaeological evidence to identify its builder.

Archaeological Evidence from the Giza Plateau

The physical and archaeological context of the Sphinx strongly supports its construction during Khafre’s reign. The Sphinx is not an isolated monument—it is tightly connected to Khafre’s pyramid complex; the arrangement of causeways, temples, quarries, and the Sphinx itself all suggest a single master plan in the mid-3rd millennium BC​.

  • Location and Alignment: The Great Sphinx sits directly adjacent to Khafre’s Pyramid. It faces due east, situated just off the causeway that leads from Khafre’s pyramid down to what is known as the Valley Temple (a ceremonial temple near the Nile edge)​. In the 1850s, archaeologist Auguste Mariette excavated this Valley Temple and discovered a life-size diorite statue of Khafre within it​. The presence of Khafre’s statue in situ firmly links the temple—and, by extension, the area around the Sphinx— to Khafre’s reign. Mariette also uncovered a paved causeway connecting this Valley Temple to Khafre’s upper Mortuary Temple by the pyramid​, showing that the whole complex (pyramid, mortuary temple, causeway, valley temple) was designed together. The Sphinx is carved out of the bedrock immediately north of this causeway, and its enclosure forms part of the causeway’s southern wall. The arrangement suggests the Sphinx’s creation was incorporated into Khafre’s construction project – it is spatially and architecturally tied to Khafre’s pyramid layout, positioned as if to guard the causeway approach. Indeed, archaeologists have noted that the Sphinx’s location was likely chosen because a natural limestone hill there remained after quarrying blocks for the pyramids; carving it into a Sphinx made it a creative component of the site plan rather than leaving a random outcrop​.

  • Sphinx and Temple Complex: In front of the Sphinx (to the east) lie the ruins of the so-called Sphinx Temple, discovered in 1925 by Émile Baraize​. The ground plan of this Old Kingdom temple is strikingly similar to Khafre’s Valley Temple nearby​. Both structures consist of large limestone core blocks with granite facing (in antiquity) and have an open central court flanked by pillars​. The similarity in architectural style and the alignment of the Sphinx Temple with the Sphinx itself indicate they were part of one project. Notably, Khafre’s Mortuary Temple (by his pyramid) contains a courtyard of the same dimensions and layout as the Sphinx Temple’s court, further hinting that the same architects or pharaoh were at work​. Egyptologist Zahi Hawass writes that these clues “tied the Sphinx to Khafre’s pyramid and his temples” in a single design​. It appears that Khafre planned a grand ceremonial complex: a pyramid, mortuary temple, causeway, valley temple, and the Sphinx with its own temple, all interconnected​.

  • Quarrying Evidence – Integrated Construction: Perhaps the most compelling archaeological evidence comes from stone quarry analysis. The Sphinx was carved in place from the natural bedrock, which meant a U-shaped quarry ditch was excavated around the body. In the early 1980s, Mark Lehner (an Egyptologist) and Thomas Aigner (a geologist) conducted a “stone by stone” mapping of the Sphinx and Sphinx Temple. They discovered that the huge limestone blocks removed from around the Sphinx were reused to build the Sphinx Temple itself. Many of the core blocks in the temple walls contain the same geological strata in the same sequence as the layers in the Sphinx’s body, and those layers line up perfectly from the Sphinx into the temple masonry​. In other words, as ancient quarrymen carved the Sphinx out of the bedrock, they hauled the excess limestone away and immediately assembled it into the adjacent temple’s walls. Lehner and Aigner even “fingerprinted” the limestone fossils in the blocks to confirm they match the Sphinx pit layers​. This is strong evidence that the Sphinx and its temple were built at the same time. Since the Valley Temple next door is attributed to Khafre (by its contents), it follows that the Sphinx and Sphinx Temple were part of Khafre’s construction efforts as well​. Summarising this, the Smithsonian magazine noted: “The fossil fingerprints showed that the blocks used to build the [Sphinx] temple must have come from the ditch surrounding the Sphinx… hauled away… as the Sphinx was being carved.”​ This data directly ties the monument to Khafre’s reign when the quarrying for his pyramid complex was underway.

  • Khafre’s Statues and Sphinx Iconography: Further linking the Sphinx to Khafre is the presence of multiple Khafre statues and sphinxes in his complex. Besides the diorite Khafre statue found in the Valley Temple​, archaeologists have noted there were likely sphinx statues associated with Khafre’s monuments. Inside Khafre’s Valley Temple are emplacement slots for a series of statues. According to a PBS/NOVA investigation, there were positions for four colossal sphinxes (26 ft long) – two flanking each of the temple’s two entrances​. While those statues are not preserved, their existence shows that Khafre employed the sphinx motif (human-headed lion) in his building program. This aligns with the idea that the Great Sphinx – the largest sphinx of all – was carved under Khafre’s auspices as the grand centerpiece of this theme. Indeed, an encyclopedic source states: “In his time, two sphinxes 26 ft (8 m) long were constructed at each of the two entrances to [Khafre’s] temple”. Such use of sphinx imagery in Khafre’s context makes it very plausible that the giant Sphinx is Khafre’s own portrait as a guardian “lion king”.

  • Site Engineering Considerations: Egyptologists have also pointed out a telling piece of site engineering evidence: Khafre’s causeway has a drainage channel that runs off to the side – and it empties into the Sphinx enclosure. This would have been a bizarre design if the Sphinx (a sacred image) already occupied the hollow. Archaeologist Mark Lehner argued that the ancient builders would not direct runoff water to erode or flood an existing sacred statue’s enclosure​. Instead, the causeway and its drain were likely built before the Sphinx was carved. The fact that the channel terminates where the Sphinx would later be suggests the ground was intact when the causeway was built; only afterward did Khafre’s workers cut the Sphinx out, intersecting the drain’s path​. This sequencing supports Khafre’s timeline (causeway first, then Sphinx). If the Sphinx had been an older monument already present, Khafre’s engineers would have had to plan the drain differently to avoid “desecrating” the site​. The integration (and slight misalignment) of these elements makes sense if all were done in Khafre’s project rather than a later pharaoh intruding on someone else’s monument.

  • Worker’s Cemetery and Town: In the 1990s, archaeologists (including Z. Hawass and M. Lehner) discovered a large labourer’s cemetery and a settlement southwest of the Sphinx. The cemetery held tombs of overseers and hundreds of simple graves of workers, with inscriptions and pottery dating it to the mid-4th Dynasty (Khafre’s era)​. Nearby, Lehner excavated the “Lost City of the Pyramid Builders,” a settlement of barracks and houses for thousands of workers, again dated to Khafre’s reign​. These finds show that a massive workforce was active at Giza during Khafre’s time – presumably the crews that built his pyramid and very likely carved the Sphinx. The scale of the project (the Sphinx is 240 ft long) would have required organised labour and provisioning, which is attested by this workers’ village in Khafre’s reign​. There is no evidence of a similar workforce in earlier periods at Giza, which argues against the idea of a much older Sphinx built by an earlier civilisation. The presence of bakeries, barracks, and tombs tied to Khafre’s project reinforces that all major constructions on the plateau – including the Sphinx – were achieved by the Old Kingdom state.

In sum, the archaeological evidence paints a consistent picture: the Great Sphinx forms part of Khafre’s pyramid complex, both physically and chronologically. As Dr. Hawass summarizes, “the Sphinx represents Khafre and forms an integral part of his pyramid complex”​. No finds at Giza definitively contradict this – on the contrary, every major discovery (statues, temple layouts, quarry linkages, worker settlements) bolsters the Khafre attribution.

Statue of King Khafre, Mustang Joe

Stylistic and Iconographic Analysis

Stylistic and iconographic evidence also plays a role in the Sphinx debate. The statue’s appearance – its facial features, headcloth, and proportions – can be compared to other known royal sculptures to see if it matches Khafre’s known iconography.

Royal iconography of the Sphinx: The Great Sphinx is depicted wearing the royal nemes headdress (the striped cloth seen on pharaohs like Tutankhamun’s mask) and originally had the uraeus (cobra emblem) on its forehead and a ceremonial false beard (fragments of the Sphinx’s broken beard have been found in excavations)​. These elements mark it clearly as a representation of a pharaoh, not just a random man or deity. The nemes and beard are symbols of kingship – for instance, the famous statue “Khafre Enthroned” from Khafre’s Valley Temple shows him with the same nemes and a similar beard shape, along with a falcon god protecting his head​. The fact that the Sphinx has these attributes is one reason most scholars believe it depicts a specific king – almost certainly Khafre – as opposed to being an earlier religious statue or a generic lion. The combination of a lion’s body with a king’s head itself is a powerful piece of iconography: it represents the pharaoh as a divine protector and embodiment of solar power. In the Old Kingdom, the pharaoh was often likened to a lion or to the sun god on the horizon; Khafre in particular emphasised solar connections (his pyramid aligns with the sun and he built a temple to the sun-god Re at Abu Gorab). Thus, carving his likeness onto a colossal lion facing the rising sun would fit Khafre’s ideology of kingship. The later name “Hor-em-akhet” (Horus of the Horizon) given to the Sphinx in New Kingdom times likely reflects the original intent – the pharaoh portrayed as a form of Horus guarding the horizon​.

Facial features and portraits: Although the Sphinx’s face is heavily eroded, Egyptologists generally observe that its broad contours and certain details resemble Khafre’s other portraits. The face is described as having a square jaw, high cheekbones, and a distinct expression. A small ivory statue of Khufu (Khafre’s father) exists, and a number of statues of Khafre have survived – these allow comparisons. Notably, Rainer Stadelmann, a prominent Egyptologist, conducted a detailed comparison of the Sphinx’s face to known royal images. Stadelmann concluded that the Sphinx’s visage did not match Khafre as well as it matched Khufu. He pointed out that the shape of the nemes headdress on the Sphinx and the style of the attached beard were more indicative of early 4th Dynasty art (Khufu’s time) than Khafre’s​. In a documentary interview, Stadelmann observed the “square face, a little bit [of a] bitter mouth, [and] protruding eyes” of the Sphinx and said “for me, [it’s] the same face” as Khufu’s statue​. This led him to propose that perhaps the Sphinx was originally conceived by Khufu (and might even portray Khufu), later appropriated by Khafre. However, Stadelmann’s view is a minority position (discussed more in the next section). Most experts see the Sphinx as fitting Khafre’s visage. The consensus view is that the face is indeed Khafre’s, albeit worn. For example, the curator of the Cairo Museum describes the Sphinx as bearing Khafre’s likeness in educational materials​. And the NOVA/PBS special on the Sphinx concluded unambiguously: “It is Khafre’s face that adorns the Sphinx”, acting as the protector of the king’s pyramid tomb​.

It’s important to note that assessing a 4,500-year-old weathered face can be subjective. Some forensic-style studies have been attempted (in the 1990s, a police artist claimed the Sphinx’s facial proportions didn’t match Khafre, stirring publicity), but Egyptologists caution that erosion and ancient repairs make direct comparison difficult. The headdress and general stylistic program (half man, half lion, wearing royal regalia) are clearly of the Old Kingdom royal style. There were no pharaohs before the 4th Dynasty that we know of who had such iconography, which again points to Khafre’s epoch as the logical time of creation. Additionally, a fragment of the Sphinx’s beard in the British Museum shows a pleated style thought to be consistent with 4th Dynasty artistic fashion (though some argue it might be from a later restoration)​.

Other Sphinxes in Egyptian art: The Great Sphinx is the earliest colossal sphinx, but smaller sphinx statues do appear around that era. For example, a sphinx head of Djedefre (Khafre’s brother) was found at Abu Roash, indicating that Khafre’s contemporaries also adopted the sphinx form. By the New Kingdom, sphinx statues (often with different heads, like rams or criosphinxes) were common. The Great Sphinx likely set a prototype. Its distinctly Old Kingdom style head – the nemes and facial shape – is quite different from New Kingdom sphinxes (which often have different crowns or more exaggerated features for later kings). This stylistic context supports the view that the Great Sphinx belongs to the Old Kingdom and most likely represents Khafre.

In summary, iconography and style strongly suggest the Sphinx is a royal monument of the 4th Dynasty. The mainstream view (espoused by experts like Zahi Hawass, Mark Lehner, etc.) is that the statue’s face is meant to be Pharaoh Khafre. Hawass notes that “the Sphinx represents Khafre,” and the statue’s features – as far as we can tell – align with Khafre’s known imagery​. While a few scholars have argued it might depict Khufu instead (based on subtle artistic cues)​., this is not widely accepted. Most find that the balance of stylistic evidence, combined with the overwhelming archaeological context, still points to Khafre as the Sphinx’s intended identity.

Inscriptions and Epigraphic Evidence (or the Lack Thereof)

One notable aspect of the Great Sphinx is the absence of contemporary inscriptions naming it or its builder. Unlike pyramids, which often have internal worker marks or later inscriptions identifying the pharaoh, the Sphinx bears no clear ancient labels. Egyptologists have several interpretations for this silence:

  • Incomplete monument and cult: As mentioned, Mark Lehner’s research indicates the Sphinx’s associated temple was never finished in antiquity​. Blocks were left rough, and there is scant evidence of a functioning cult (no offering tables or extensive decoration from the Old Kingdom). Lehner concludes it is “doubtful whether a cult service specific to the Sphinx was ever organised” in Khafre’s time​. This could explain why Khafre left no dedicatory stela or inscription – he may have died before fully institutionalising the Sphinx’s ritual significance. The monument might have been simply one component of Khafre’s funerary complex, and once the king died, attention shifted to completing his tomb and mortuary cult. The Sphinx (lacking internal chambers) had no obvious place for an inscription to be carved, unlike a temple or tomb. Thus, no inscription explicitly says “Khafre built the Sphinx.” This gap, however, is an argument from silence and does not outweigh the other evidence tying it to Khafre.

  • Dream Stele (New Kingdom): By Thutmose IV’s time, the association with Khafre was apparently recorded on the Dream Stele. As noted earlier, the stele’s text includes a royal name (likely Khafre’s) in the context of the Sphinx story​. Egyptologists like James Henry Breasted, when translating the stele in the 19th century, took this as confirmation that the Sphinx was believed to be “Khafre’s statue”. The Dream Stele doesn’t explicitly say “Khafre built it,” but the implication is that Thutmose IV is addressing the Sphinx as a divine image tied to Khafre’s identity or era. This is often cited as post-facto textual evidence in support of Khafre’s authorship, even though it was written 1,100 years after Khafre. The stele itself, importantly, was made of granite from Khafre’s own pyramid complex (reused lintel stone) and was positioned as if to restore or renew the Sphinx’s cult​. This suggests Thutmose IV (and his priests) saw the Sphinx as an old monument worthy of restoration – consistent with it being an Old Kingdom relic of Khafre’s time. In summary, the Dream Stele associates the Sphinx with Khafre in the ancient Egyptian record​.

  • Inventory Stela (Saite, later period): The Inventory Stela is often brought up by those questioning Khafre’s role, because it tells a differing tale – that Khufu found the Sphinx (and an associated Isis temple) already existing and decayed, and he repaired them​. If true, that would mean the Sphinx predates Khufu (and thus Khafre). However, as discussed, this stela is considered historically unreliable. Its likely purpose was to boost the importance of a local shrine by connecting it to Khufu. Scholars like Selim Hassan (who excavated the Sphinx in the 1930s) and others note the stela’s content doesn’t align with Old Kingdom language or theology, and it lists deities in a way that fits the first millennium BC. Therefore, mainstream Egyptology does not accept the Inventory Stela as evidence that the Sphinx is older than Khafre – rather, they see it as later legend​gizamedia.rc.fas.harvard.edu.

  • No Old Kingdom name: We do not know what Khafre (or his contemporaries) called the Sphinx. In contrast, Khafre’s pyramid was named (ancient name: “Wer(en)-Khafre” meaning “Khafre is Great”). The Sphinx might have simply been considered a manifestation of a god, not needing a separate name. By New Kingdom, it was called Hor-em-akhet and Bw-Ḥw (“Place of Horus”) and later still the Greeks used Harmachis. In Arab tradition, it gained the nickname Abu al-Hawl (“Father of Terror”). The lack of a known Old Kingdom name is expected if the Sphinx’s worship wasn’t fully developed then​.

In essence, while no inscription from Khafre’s time explicitly says he built the Sphinx, the circumstantial epigraphic evidence (Dream Stele) supports Khafre, and no credible ancient text assigns it to anyone else. Egyptologists often point out that many Old Kingdom royal works went uninscribed (for instance, Khafre’s Valley Temple itself had no inscribed labels; its attribution is known only from context and the statue finds)​. The Sphinx is another such case where context must substitute for inscription. Given the strength of that context, scholars remain confident in the Khafre attribution, and they interpret the silence as a result of historical happenstance (incompletion and burial by sand) rather than evidence of a different builder.

The Great Sphinx of Giza measures 240 feet long (73 m) and stands 66 feet high (20 m), oriented on a straight west-to-east axis, Giza, Egypt. This image was first published on Flickr. Original image by eviljohnius. Uploaded by Ibolya Horváth, published on 26 October 2016.

Geological Evidence: Weathering and Age of the Sphinx

In the 1990s, the Great Sphinx became the focus of a high-profile geological debate: does the weathering and erosion on the Sphinx indicate it is far older than Khafre’s era? This question was sparked by research from outsiders to Egyptology and has since been addressed by geologists and archaeologists on both sides. The mainstream geological view aligns with the Egyptological timeline (4th Dynasty), explaining the Sphinx’s erosion within known historical and environmental conditions​.

The Erosion Controversy: In 1992, Robert M. Schoch (a geologist) and John Anthony West (an independent researcher) proposed that the Sphinx’s enclosure shows heavy rainfall erosion, which could only be the result of prolonged wet climate thousands of years earlier than 2500 BC. They noted the Sphinx’s body and the walls of its pit have a “rolling,” undulating profile, with deeply weathered recesses, unlike the sharper wind-eroded tombs nearby. Schoch initially estimated the Sphinx might date to 7000–5000 BC or even earlier (circa 9000 BC in some statements) – essentially positing a lost civilisation predating dynastic Egypt​. This extreme redating was and is a fringe viewpoint. It elicited strong reactions: geologist James A. Harrell noted that Schoch’s arguments were purely geological and did not account for the rich archaeological context tying the Sphinx to Khafre​hallofmaat.com. To resolve this, mainstream geologists have re-examined the Sphinx’s erosion.

Mainstream geological interpretation: Studies by K. Lal Gauri (1993, 1995), James Harrell (1994), and others concluded that the observed erosion can be explained without abandoning the Old Kingdom date. Several key points from these studies:

  • The Giza plateau’s Mokattam limestone has layers of differing hardness. The Sphinx’s body is composed of softer marl-like layers interbedded with harder limestone. When exposed to weather, the softer layers weather more rapidly, creating recesses, while harder layers stand out in relief​. This naturally yields a rounded, undulating profile over time – even under wind-driven sand erosion or limited rain. Harrell pointed out that nearby 4th Dynasty tombs (e.g., the Tomb of Debehen) at a similar elevation show flat walls but with the weaker layers beginning to recess due to wind/sand, consistent with early stages of what we see more exaggerated on the Sphinx​. In short, the Sphinx’s pattern could be a result of thousands of years of slow weathering of alternating layers, not necessarily intense rainfall ages earlier.

  • Rainfall in Old Kingdom and later: While Egypt’s climate was largely arid by Khafre’s time, sporadic heavy rain events have occurred throughout history. W.F. Hume, a director of the Geological Survey of Egypt, documented sudden torrential rains in the desert that caused flash floods and cut deep channels in soft rock​. Such events, even if rare (once a century, say), over a few millennia can contribute to significant erosion. The Sphinx enclosure may have collected rainwater runoff in rare storms, periodically washing against the walls. Moreover, right after the Old Kingdom (c. 2200 BC), Egypt’s climate did become slightly wetter for a time; and again in the early first millennium BC there were episodes of greater rainfall. These could have hastened the rounding of the Sphinx’s features. Importantly, the Sphinx has spent most of its history buried up to its neck in sand, which actually protects the lower body from wind erosion but can trap moisture against the rock. Geologists note that damp sand against limestone causes salt crystallisation that breaks down the surface​.

  • Active weathering today: Zahi Hawass has observed that even in modern times the Sphinx’s stone is deteriorating – flakes pop off due to salt and humidity changes​. Researchers agree that “the same erosion patterns cited by Schoch still continue on a daily basis” in the present climate​. This undermines the notion that only a prehistoric climate could produce the observed erosion. In fact, much of the damage may have accelerated in the last millennium or two, due to the rising water table and human activity. Thus, one need not invoke 10,000 BC rainstorms – normal weathering processes in an arid environment (wind, rare rain, dew and salt) are sufficient to explain the Sphinx’s condition​.

Mainstream geologists who studied the Sphinx (like Gauri et al. in Geoarchaeology 1995) concluded that the weathering is compatible with an age of ~4,500 years. For example, Gauri showed how combinations of wind erosion, wet sand, and chemical weathering could create the rounded profile in a relatively short geologic time​. Lehner notes that the hardest layers (e.g., the Sphinx’s head, which is a harder limestone member) have survived almost intact except for the nose, whereas the softer body is deeply weathered – a normal differential erosion scenario​. If the statue were many thousands of years older, arguably the head would also show much more extreme erosion or would have needed ancient restoration (for which there is no evidence prior to New Kingdom repairs).

To summarise the geological stance: There is no compelling geologic necessity to date the Sphinx earlier than Khafre. Egyptologist Kate Spence quipped that while the Sphinx’s erosion is “dramatic,” the leap to redate it to 7000 BC is “like using a sledgehammer to crack a nut” – unnecessary given simpler explanations (existing weathering processes and Khafre’s context suffice). Mainstream science recognizes Schoch’s observations but finds they are “amenable to an alternative interpretation… more consistent with archaeological orthodoxy.”​hallofmaat.com In other words, by aligning the geological evidence with archaeological evidence, the 4th Dynasty date holds firm.

Finally, it’s worth noting that even if the erosion suggested an older date, one would then have to explain why absolutely no artefacts, tools, inscriptions, or burials from a pre-2500 BC civilisation have been found at Giza – a huge problem for fringe theories. The geological consensus therefore reinforces the archaeological timeline: the Sphinx was carved in the mid-3rd millennium BC and has been shaped by natural forces since, requiring vigilant conservation today just as in ancient times.

Mainstream Scholarly Consensus and Debates

Within the Egyptological community, the overwhelming consensus is that Khafre was the builder of the Great Sphinx. This view is supported by virtually all the leading Egyptologists and institutions: the Egyptian Supreme Council of Antiquities (led by figures like Dr. Zahi Hawass), the American Research Center in Egypt, the Giza Plateau Mapping Project (Dr. Mark Lehner), and others have consistently attributed the Sphinx to Khafre’s reign. Hawass states plainly, “Most scholars believe, as I do, that the Sphinx represents Khafre”​and was an “integral” part of his pyramid complex. Likewise, textbooks and museum exhibits identify the Sphinx as likely carved under Khafre around 2500 BC​. This is sometimes called the “Khafre-Sphinx theory” (essentially the orthodox position).

However, academic discourse allows for some debate. A handful of Egyptologists have proposed variants on the attribution – notably suggesting either Khafre’s father (Khufu) or his half-brother (Djedefre) as the initiators of the Sphinx. It’s important to stress these are minority views, but since they come from credentialed scholars, they merit mention:

  • Rainer Stadelmann’s Khufu hypothesis: Dr. Rainer Stadelmann (former director of the German Archaeological Institute in Cairo) argued that the Sphinx might have been started by Pharaoh Khufu (builder of the Great Pyramid) and only completed by Khafre or later. Stadelmann noted certain anomalies: the Sphinx’s axis is slightly off-center from Khafre’s pyramid and causeway, which he thought could imply it wasn’t originally part of Khafre’s symmetric plan​. He also pointed to stylistic elements (the nemes headdress shape, and the form of the “diadem” or uraeus and beard) that he believed were more characteristic of Khufu’s time​. In his view, Khufu – who had no large Sphinx of his own found – might have commissioned the statue as a guardian or as a form of the sun god for his necropolis, and Khafre later reused the idea. Stadelmann published this theory in 1999/2000, suggesting that the “Sphinx and Sphinx Temple was also built by Khufu rather than by Khafre”, essentially a Khufu origin for the Sphinx Temple that Khafre then built his causeway around​. To support this, he noted that the Sphinx Temple’s architectural style has some differences from Khafre’s Valley Temple, perhaps indicating an earlier phase​. He also tied in religious reasoning: Khufu’s Horus name and solar associations, and the Sphinx’s later name Hor-em-akhet (“Horus of the Horizon”), speculating that the Sphinx could have been a sun shrine created by Khufu as an embodiment of Ra-Horakhty on the horizon​. Despite these arguments, most experts remained unconvinced. Zahi Hawass responded that Stadelmann’s case, while intriguing, was not compelling against the body of evidence for Khafre​gizamedia.rc.fas.harvard.edu. No direct evidence of Khufu at the Sphinx has surfaced – e.g., no Khufu-era tool marks or inscriptions in the Sphinx enclosure. Furthermore, Khafre’s ownership of the Valley Temple and causeway is clear, and the Sphinx fits seamlessly into that context. So Stadelmann’s hypothesis is often acknowledged in scholarly literature but usually refuted as less convincing than the orthodox view. Mark Lehner’s analysis actually allows a nugget of Stadelmann’s idea: Lehner concluded Khafre was responsible for “most of the Sphinx,” but conceded that “Khufu might have started it.”​– meaning perhaps Khufu left a proto-sphinx or a shaped outcrop that Khafre later recarved. This is speculative, and Lehner emphasises Khafre’s role as primary. Essentially, even those open to Khufu’s involvement agree Khafre finished and shaped the Sphinx as we know it​.

  • Vassil Dobrev’s Djedefre hypothesis: In the early 2000s, Dr. Vassil Dobrev of the French Archaeological Institute in Cairo announced a theory attributing the Sphinx to Djedefre, the son of Khufu and older brother of Khafre​. Djedefre ruled briefly after Khufu but built his pyramid at Abu Roash, north of Giza, which later fell into ruin. Dobrev suggests that during his short reign (c. 2528–2520 BC), Djedefre created the Sphinx at Giza as a tribute to his father Khufu. His reasoning: by the time Khufu died, the people were perhaps weary from pyramid-building, so rather than another giant pyramid at Giza, Djedefre sought a different way to honour Khufu and legitimise his own rule​. Propaganda motive: Dobrev argues the Sphinx would represent Khufu as a god (Ra-Horakhty), thereby reinforcing Djedefre’s connection to his illustrious father and the solar cult​. Supporting clues include Djedefre’s adoption of the epithet “Son of Re” (he was the first pharaoh to put “Ra” in his royal name), indicating a strong solar focus​. Also, in the boat pits around Khufu’s pyramid, some blocks bearing Djedefre’s name were found, showing Djedefre was involved in his father’s funerary arrangements​. Dobrev also notes a topographical point: in ancient times, visitors coming from Memphis would approach Giza from the south. From that southern approach, the Sphinx is seen in profile in front of Khufu’s pyramid​. It would present a spectacular image of a guardian watching over Khufu’s tomb, potentially fulfilling Djedefre’s goal of memorialising Khufu. This theory was publicised in media around 2004 (a UK Channel 5 documentary “Secrets of the Sphinx”) as a “solution” to the riddle​. However, like Stadelmann’s idea, it has not gained wide acceptance. Egyptologist Robert Partridge responded that Dobrev’s argument, while logical, lacked hard evidence: “insufficient evidence to prove his theory”​. The Giza excavations have not uncovered any inscription of Djedefre at the Sphinx, nor any direct sign of his work there. It remains possible Djedefre had some role (since the time gap between Khufu and Khafre is small – Djedefre reigned perhaps 8 years, then Khafre took over), but the mainstream still credits Khafre for actually carving the Sphinx. In effect, Dobrev’s scenario requires believing Khafre simply inherited the Sphinx from his brother – yet Khafre clearly built the temples and causeway around it. It’s more parsimonious that Khafre did the whole project. Thus, Dobrev’s theory is seen as an interesting but unproven alternative within academic circles​.

Beyond Stadelmann and Dobrev, no other mainstream Egyptologist has a serious published theory assigning the Sphinx to another pharaoh. George Reisner, who excavated at Giza in the early 20th century, briefly wondered if Djedefre could have started it (he doubted Djedefre’s character and thought him an usurper), but Reisner ultimately leaned to Khafre like others​. Selim Hassan’s definitive 1940s study of the Sphinx concludes with Khafre. Scholars like I.E.S. Edwards, Ahmed Fakhry, and more recently Miroslav Verner and Mark Lehner have all written that Khafre is the builder​. Jane A. Hill and Catharine Roehrig, in museum catalogs, describe the Sphinx as Khafre’s image. In sum, the majority view within Egyptology has remained stable for over a century – Khafre, circa 2500 BC, is seen as responsible.

It’s telling that even the proponents of alternative attributions (Khufu or Djedefre) still place the Sphinx firmly in the 4th Dynasty, only a generation or so away from Khafre. There is no credible academic suggestion that it comes from a radically earlier time or a different civilization. This brings us to the fringe theories, which venture far outside the mainstream and propose extreme chronologies or exotic builders.

Alternative and Fringe Theories – Comparison to Consensus

For completeness, we briefly outline the alternative or fringe ideas about the Sphinx’s origins, and how they contrast with the mainstream consensus:

  • Pre-Dynastic / “Atlantean” Theories: Inspired by the erosion debate and legends, some have claimed the Sphinx is thousands of years older than Egypt’s Old Kingdom. Dates of c. 10,000 BC (the end of the last Ice Age) are often thrown about, linking the Sphinx to hypothetical lost civilisations. This idea gained traction through the work of John Anthony West and Robert Schoch, who, as noted, argued for a construction possibly between 7000–9000 BC based on presumed water erosion​. Others have extended this to even earlier, tying it to the legend of Atlantis (notably, Edgar Cayce prophesied that the Sphinx was built in 10,500 BC by Atlanteans and that a “Hall of Records” lies beneath it​). These theories are not supported by physical evidence. Mainstream archaeologists point out that no trace of high civilisation in Egypt (or elsewhere) exists from that period – the Neolithic peoples of 7000 BC left primitive dwellings and small settlements, nothing on the scale of the Sphinx. The fringe proponents often circumvent this by invoking aliens or lost continents, which places their claims well outside scientific plausibility​. As a result, Egyptologists do not take these ideas seriously. Hawass has openly derided the more extreme proponents as “pyramidiots” for advancing wild claims (such as secret chambers and alien technology) that distract from real research​. The consensus is that extraordinary claims require extraordinary evidence, and so far the fringe ideas have produced no verifiable evidence – only reinterpretations of the weathering (addressed above) and imaginative speculation. In fact, extensive surveys (seismic, drilling) around the Sphinx have not revealed any mysterious pre-dynastic chambers or hidden archives – only natural fissures and some small Old Kingdom tunnels used by treasure hunters.

  • Cultural context vs. lost civilisation: Mainstream scholars emphasise how well the Sphinx fits into the context of Khafre’s 4th Dynasty court – artistically, religiously, and logistically. By contrast, placing it in 10,000 BC creates an inexplicable gap: one would have to believe that an advanced society sculpted the Sphinx (and perhaps began carving on the Giza site), and then all knowledge and progress vanished, only for Egyptians 6,000 years later to coincidentally build their pyramids right next to it. This scenario is seen as vastly less probable than the straightforward one: the Old Kingdom Egyptians themselves, whose ability to build pyramids and statues is well documented, carved the Sphinx. As geologist Harrell put it, the aim is to find an interpretation “more consistent with the archaeological orthodoxy”​hallofmaat.com – in other words, one that doesn’t require rewriting the entire history of civilisation. The orthodox view passes this test elegantly, whereas the fringe view forces a radical rewrite with no corroborating data.

  • Reception of fringe theories: While fringe ideas get media attention, they have not penetrated academic discourse except as a foil to be refuted. For instance, in a 2017 review, the A.R.E. (Edgar Cayce’s foundation) still promotes the notion of a pre-10,000 BC Sphinx, but Egyptologists remain unmoved. Mark Lehner is a particularly interesting case: he originally went to Egypt as a young man funded by Cayce’s organisation, curious about the Hall of Records prophecy​. However, after years of empirical study mapping the Sphinx and excavating around it, Lehner became a staunch defender of the orthodox view​. He found nothing to suggest a lost civilisation and everything to suggest an Old Kingdom context. This transformation – from someone open to alternative ideas to a scientist persuaded by evidence – underscores how powerful the evidence for Khafre is. Lehner now works closely with Hawass and others to conserve the Sphinx and explore the Giza plateau within the framework of known history.

In comparison to these fringe notions, the mainstream consensus appears exceedingly well-grounded. It does not require any unknown peoples or drastic revision of timelines. It attributes the Sphinx to the same culture that undeniably built the surrounding pyramids and temples. As one encyclopedia entry succinctly put it: “Most archaeologists believe that the Sphinx was constructed about 4,500 years ago during the reign of Khafre… [Fringe] ideas are regarded with disbelief and derision by most mainstream scholars.”​. The contrast could not be more stark – virtually all qualified Egyptologists support the Khafre attribution (with only slight internal debate as to maybe Khufu or Djedefre’s roles), whereas the ideas of extreme antiquity come from outside the field and remain unsubstantiated.

Conclusion

After examining the full range of evidence, the mainstream Egyptological consensus remains that the Great Sphinx was built in the mid-3rd millennium BC for Pharaoh Khafre. This conclusion is supported by a convergence of archaeological data (the Sphinx’s alignment and construction interlocks with Khafre’s pyramid complex, and material from its quarry was used in Khafre’s temples)​, iconographic analysis (the Sphinx’s royal visage and regalia are consistent with Khafre’s other statues and with Old Kingdom royal art)​, and geological assessments (the weathering is explicable over 4,500 years and does not necessitate a dramatically earlier date)​. Crucially, no evidence from antiquity crediting another builder has stood up to scrutiny – later Egyptian records like the Dream Stele in fact reinforce Khafre’s connection​, and the lack of an Old Kingdom inscription is reasonably explained by the monument’s context and later history​.

Within academia, the Sphinx’s attribution is not a source of major controversy. A majority of Egyptologists echo the view of Hawass and Lehner that Khafre commissioned the Sphinx as part of his mortuary complex. A few scholarly proposals (Stadelmann’s and Dobrev’s) have suggested Khafre’s immediate relatives as alternatives, but those remain speculative and have not overturned the Khafre model. In each case, those hypotheses still keep the Sphinx within the 4th Dynasty royal family, essentially affirming that it was a product of the same high civilisation that built the Pyramids​.

In contrast, alternative theories that place the Sphinx in a long-lost epoch or attribute it to non-Egyptian sources are not supported by credible evidence and are rejected by experts​. The academic consensus is that such ideas, while popular in pseudo-archaeology circles, do not change the fundamental fact that the Sphinx is an Old Kingdom creation – in all likelihood, the work of King Khafre’s artisans. As the Nova documentary concluded: “It is Khafre’s face that adorns the Sphinx, which [stood as protector of] the mummified king as he traveled toward the pyramid, following the path of the sun”​. In the eyes of modern Egyptology, the Great Sphinx of Giza is thus understood as Khafre’s enduring legacy – a colossal guardian statue symbolizing royal power and the divine sun on the Giza plateau, built circa 2500 BC and contemplated ever since by those who seek to unravel its ancient riddle.

Sources: The conclusions above draw on the research and writings of numerous Egyptologists and geologists, including M. Lehner​, Z. Hawass​, R. Stadelmann​gizamedia.rc.fas.harvard.edu, V. Dobrev​, J. A. Harrell​hallofmaat.com, K. L. Gauri, and others, as well as translations of ancient texts like the Dream Stele​. These experts and sources collectively affirm the attribution of the Sphinx to Khafre and provide a multifaceted body of evidence in its favor, as detailed in the discussion above. The mainstream view remains robust, with leading Egyptological institutions continuing to uphold Khafre as the builder of the Great Sphinx of Giza​.


References

  • Lehner, Mark. The Complete Pyramids: Solving the Ancient Mysteries. Thames & Hudson, 1997.

  • Hawass, Zahi. The Secrets of the Sphinx: Restoration Past and Present. The American University in Cairo Press, 1998.

  • Lehner, Mark. The Archaeology of an Image: The Great Sphinx of Giza. Cambridge Archaeological Journal, 1991.

  • Stadelmann, Rainer. “Die große Sphinx von Giza.” Archäologischer Anzeiger, 1991.

  • Schoch, Robert M. “Redating the Great Sphinx of Giza.” Geoarchaeology, vol. 8, no. 6, 1993, pp. 427–439.

  • Gauri, K. Lal, et al. “Geologic Weathering and the Age of the Sphinx.” Geoarchaeology, vol. 10, no. 2, 1995, pp. 119–133.

  • Harrell, James A. “The Great Sphinx Controversy.” University of Alabama Geology Papers, 1994.

  • Dream Stele of Thutmose IV (Translation and Commentary). UCL Digital Egypt Project.

  • Verner, Miroslav. The Pyramids: The Mystery, Culture, and Science of Egypt's Great Monuments. Grove Press, 2001.

  • National Geographic Special: "Riddles of the Sphinx". National Geographic Society, 1998.

  • Lehner, Mark. The Giza Plateau Mapping Project: Project History and Overview. Ancient Egypt Research Associates.

  • Hassan, Selim. The Sphinx: Its History in the Light of Recent Excavations. Cairo: Government Press, 1949.

  • Reisner, George A. A History of the Giza Necropolis, Volume 1. University of Chicago Press, 1942.

  • PBS NOVA Documentary: "Secrets of the Sphinx". PBS, 1997.

  • Supreme Council of Antiquities (Egypt) – Official Website.

In Egypt's Dynastic Period Tags Dimosthenis Vasiloudis

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Ochre: The First Sunscreen That May Have Saved Humanity from Extinction, Study Suggests

May 3, 2025

A groundbreaking study published in Science Advances suggests that ochre, a naturally occurring red pigment, may have helped early humans survive a massive spike in ultraviolet radiation roughly 41,000 years ago—a period that may also mark the extinction of the Neanderthals.

Earth's Magnetic Field in Turmoil

Researchers from the University of Michigan analyzed samples from the last Ice Age and found that during this period, Earth’s magnetic field weakened by up to 90%. This drastic change, coupled with a shift in the magnetic poles by about 75 degrees from their usual alignment, allowed charged solar particles to bombard the atmosphere.

The magnetic south pole drifted from Antarctica to somewhere between Australia and New Zealand, while the north pole shifted toward western Eurasia and North Africa. These changes devastated the ozone layer—the atmospheric shield that protects life on Earth from harmful UV rays—leaving both early modern humans and Neanderthals dangerously exposed.

In some parts of the world, scientists believe solar particles may have reached all the way to the ground, creating lethal levels of radiation that could have had dire consequences for survival.

Ochre: A Life-Saving Adaptation?

Intriguingly, the regions most affected by increased UV radiation coincide with archaeological sites where ochre was widely used. According to ScienceAlert, this widespread use of ochre—applied to cave walls, tools, and even human skin—may not have been purely symbolic. In this harsh environment, ochre could have functioned as an early form of sunscreen.

This theory gains further credibility from modern practices. The Himba people of northern Namibia and some Indigenous Australian communities still use ochre for sun protection today. In addition, recent research confirms that ochre does have UV-blocking properties.

The researchers note a compelling timeline overlap between the magnetic field disruption and the disappearance of the Neanderthals. If this connection holds, it raises a fascinating possibility: the use of ochre may have given Homo sapiens a survival edge that Neanderthals lacked—or failed to use as effectively.

Rethinking the Neanderthal Story

However, not all scientists are convinced. Some caution that this explanation may oversimplify the complex reality of human evolution. There's growing evidence that Neanderthals also used ochre, decorated their caves, and had tools for making clothing. These clues suggest that their behavior was more sophisticated than previously thought.

Ultimately, while the study opens a fascinating window into prehistoric survival strategies, experts agree that the disappearance of the Neanderthals was likely the result of multiple interwoven factors—with ochre being just one piece of the puzzle.

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3,500-Year-Old Egyptian Settlement Discovered Beneath Greek City from the Time of Alexander the Great

May 3, 2025

Recent excavations at Kom el-Nugus, west of Alexandria, Egypt, are reshaping what we know about the origins of ancient Alexandria. Beneath the remains of a Hellenistic city dating to the time of Alexander the Great, archaeologists have uncovered a much older Egyptian settlement—one that predates the arrival of the Macedonian conqueror by over a millennium.

A City Hidden Beneath the Figs

Kom el-Nugus, nestled between the Mediterranean Sea and Lake Mariout, has long been known for its fig trees rather than its archaeological treasures. That has now changed.

In a surprising turn of events, excavators unearthed a 3,500-year-old Egyptian settlement, dating back to the New Kingdom—the golden age of ancient Egypt, which saw the reigns of legendary pharaohs such as Tutankhamun, Seti I, and Ramses II. It appears the later Greek city was built directly atop the ruins of this earlier settlement, likely after the Egyptians regained independence from Persian rule.

A Royal Name in a Wine Jar

Among the most significant finds was an amphora bearing the name Meritaten, daughter of the infamous Pharaoh Akhenaten and Queen Nefertiti. Dated to the 18th Dynasty (1550–1292 BC), this amphora not only ties the site to Egypt's royal lineage but also sheds light on the settlement's main industry: winemaking. Nearby, archaeologists uncovered grape presses—further proof that the wine produced here may have been intended for royal consumption.

The discovery also revives interest in Akhenaten, the radical pharaoh who introduced monotheism and disrupted Egypt’s traditional polytheistic beliefs. After his death, his reign was so controversial that his statues and inscriptions were destroyed in an effort to erase his memory. Even his mummy remains unaccounted for. His son, Tutankhamun, later restored the traditional pantheon.

A Street Through Time

Other artifacts point to continued activity at the site well beyond the 18th Dynasty. Fragments of small shrines from the 19th and 20th Dynasties—the era of the Ramesside pharaohs—were found, including a stela inscribed with the cartouches of Seti II. In one pit, archaeologists uncovered five tiny ceramic bowls, while the ruins of buildings—made from sun-dried mudbrick—lined both sides of a street equipped with a water drainage system, designed to prevent structural collapse from moisture.

That street had even been rebuilt, indicating the settlement was in use for an extended period. According to researchers, the phased reconstruction of the site suggests it may have been a seasonal or temporary settlement, possibly functioning as a military outpost.

This groundbreaking discovery adds a rich new layer to the story of Alexandria, revealing how ancient Egyptian life persisted and evolved even as foreign empires rose and fell above its ruins.

Mystery at Vergina: New Identity Emerges Behind the Male Skeleton in the Great Tumulus

May 3, 2025

The skeleton discovered in the Great Tumulus of Vergina does not belong to Philip II, the father of Alexander the Great, according to new research that is turning long-held assumptions on their head.

A study published in the Journal of Archaeological Science reveals that the male skeleton found in the royal tomb is actually that of an unknown Macedonian official who died at least 20 years before Philip II’s assassination. Archaeologists believe this individual was likely a relative of the famed king, which could explain his burial in such a prestigious location.

The Occupants of Tomb I

Discovered in 1977, the Great Tumulus at Vergina is home to the royal tombs of the Argead dynasty—the family that established the Kingdom of Macedon and ultimately dominated ancient Greece. Until recently, most scholars agreed that Tomb I contained the remains of Philip II, his wife Cleopatra, and their infant child. All three were reportedly murdered in 336 BC on the orders of Olympias, Alexander the Great’s mother, to secure her son’s succession to the throne.

However, the latest dating and analysis of the remains now suggest that the man in the tomb died between 388 and 356 BC, decades before that infamous triple assassination. Scientists used cutting-edge methods involving genetic, osteological, and biological data to determine that the man was between 25 and 35 years old, and the woman buried alongside him was 18 to 25 years old. Researchers are now certain: these are not the remains of Philip II and Cleopatra.

The Mystery of the Roman-Era Infants

Adding another layer to the puzzle, archaeologists uncovered the skeletal remains of at least six infants buried in the same tomb—centuries later, between 150 and 130 AD during the Roman era. These babies are believed to have been the children of high-ranking Roman officials.

It’s likely that the tomb was looted in the 3rd century BC, which may have allowed Roman-era families to reuse the site for their own burials.

Given all these findings, archaeologists now suggest the original male occupant was a prominent Macedonian official or court member—possibly even a young king who died decades before Philip II ever rose to power.

This latest research not only reshapes our understanding of Vergina’s royal tombs but also highlights the enduring mysteries still buried beneath Macedonia’s ancient soil.

UK on Parthenon Marbles: A “Temporary” Deal Is the Best We Can Offer

May 3, 2025

The debate over the return of the Parthenon Marbles to Greece continues to make headlines, with a recent discussion in the British Parliament shedding new light on the UK’s official stance.

During a parliamentary committee session, Conservative MP Alberto Costa proposed the return of the Parthenon Marbles to Greece through an open-ended loan agreement. “This proposal is not about emptying the British Museum,” he said. “It’s about restoring a uniquely significant collection to its original context.”

As part of such an arrangement, Greece could offer major archaeological treasures for display in British museums, creating a mutually beneficial cultural exchange.

Costa even suggested to The Telegraph that an agreement could come closer to fruition if Greece were willing to lift the entrance fee to the Acropolis Museum for British visitors—a symbolic gesture of goodwill.

However, in his first public intervention on the matter, UK Culture Minister Sir Chris Bryant made it clear that a permanent return of the Marbles is not on the table. He stated that British law provides legal protection for the artifacts, making any notion of a permanent repatriation legally impossible.

“The best the UK could offer,” Bryant noted, “is a temporary agreement.”

This latest development highlights the ongoing diplomatic tightrope between cultural heritage, national legislation, and international goodwill. For now, the fate of the Parthenon Marbles remains uncertain—but the conversation is far from over.

The Terrifying Reason Archaeologists Refuse to Open the Tomb of China's First Emperor

May 3, 2025

The tomb of Qin Shi Huang, China's first Emperor, remains untouched to this day—and the reason why is as fascinating as it is unsettling.

While archaeologists have made countless remarkable discoveries over the years, few are as iconic as the burial site of the first ruler to unify China. Constructed over a span of 38 years—from 246 to 208 BC—the massive mausoleum was designed to mirror the ancient capital of the Qin Dynasty, Xianyang, and lies near the modern city of Xi’an.

The site first came to light in 1974, when a group of farmers digging a well stumbled upon what would become one of the most significant archaeological finds of the 20th century. Their discovery led to the unearthing of hundreds of life-sized statues—now known worldwide as the Terracotta Army.

The Terracotta Army was first discovered in 1974 (Luis Martinez/Design Pics Editorial/Universal Images Group via Getty Images)

These clay figures, believed to represent soldiers, court officials, strongmen, and even musicians, were buried with the emperor to serve as guardians and companions in the afterlife. Despite decades of excavation revealing thousands of these figures in separate chambers, the emperor's actual tomb—at the heart of the complex—remains sealed.

But why, with all our modern tools and technology, has the tomb never been opened?

Surprisingly, it’s not because of legends or curses—although tales of traps and deadly mechanisms inside the tomb still linger. The real reason is scientific.

When the Terracotta Warriors were first uncovered, many were found painted in vivid colors. However, once exposed to air, the pigments began to deteriorate almost immediately. Today, the once-colorful statues appear entirely bare, their original hues lost due to a sudden change in environmental conditions.

This loss has made archaeologists extremely cautious. They fear that opening the emperor’s tomb without the proper technology could irreversibly damage any delicate artifacts within—artifacts that have remained sealed off from air, light, and moisture for over two millennia.

There's a few reasons why archeologists don't want to open the Emperor's tomb (Pictures From History/Universal Images Group via Getty Images)

Because of this, experts are holding off, hoping that future advancements in preservation and excavation will allow them to explore the tomb without compromising its contents.

Kristin Romey, a curatorial consultant for the Terracotta Warrior exhibition at New York’s Discovery Times Square, explained the dilemma in an interview with Live Science:

“The big hill, where the emperor is buried—nobody’s been in there. Partly it’s out of respect for the elders, but they also realise that nobody in the world right now has the technology to properly go in and excavate it.”

Until that technology exists, the tomb of Qin Shi Huang will remain undisturbed—a silent guardian of secrets that may forever reshape our understanding of ancient China.

Date Set for the Return of the Parthenon Marbles

May 3, 2025

The long-awaited return of the Parthenon Marbles is now expected to take place within 2025.

According to powergame.gr, the news has been confirmed by international media outlets, including Italy’s La Repubblica, which mentioned the agreement in an article highlighting Greece’s positive economic trajectory. The Italian newspaper referred to a “symbolic gesture that would finally recognize modern Greece as the rightful heir of ancient Greece—the very cradle of Western civilization.”

The Economist had also reported last November that a final agreement was imminent, indicating that the only thing remaining was the official announcement detailing the terms.

The proposed framework is based on a long-term loan arrangement, as British law currently prohibits any permanent change in ownership of items held by national museums. However, Greece is reportedly open to contributing important archaeological artifacts on a rotating basis for temporary exhibitions in the UK. This cultural exchange would strengthen both diplomatic ties and mutual understanding between the two countries.

Public opinion in the UK has also shifted significantly in recent years, with a growing majority now supporting the return of the Marbles to Greece. Adding fuel to the speculation, the British Museum has closed the gallery where the Marbles are displayed—an indication that preparations for their transfer may already be underway.

Should the return take place in 2025, it will mark a historic milestone not just for Greece, but for global cultural heritage—a powerful act of recognition, restitution, and respect for the legacy of ancient civilizations.

How Much Would It Cost to Build a New Parthenon Today? Spoiler: A Mind-Boggling Amount

May 3, 2025

Imagine this: rebuilding the Parthenon from scratch, using the same materials and techniques as the ancient Athenians. What would it take—financially and logistically—to recreate one of the greatest architectural feats of classical antiquity? The answer might surprise you.

The original Parthenon was constructed between 447 and 438 BC, at a time when Athens was a flourishing center of art, philosophy, and democracy. The project was a massive undertaking, financed largely through the treasury of the Delian League. Historians estimate the cost at around 470 silver talents—a fortune at the time, consuming a significant portion of the city's annual income.

When translated into today’s economic terms, the numbers are staggering. Just sourcing high-quality, pure white Pentelic marble in such quantities would cost tens of millions of euros. Add to that the expense of extraction, transportation, and precision stoneworking using techniques and tools no longer in widespread use, and the figure skyrockets.

According to modern engineers and architectural historians, faithfully reconstructing the Parthenon—not a concrete replica, but a true-to-form rebuild using authentic ancient methods—would likely cost between €500 million and €1 billion. And if we aimed to recreate the entire Acropolis complex—complete with temples, stairways, the Propylaea, the Erechtheion, and the Temple of Athena Nike—the total bill could run into the multiple billions.

The cost factors go far beyond materials and labor. They include the immense technical demands of replicating precise architectural proportions, the need for highly specialized craftsmen, a construction timeline that could span decades, and strict adherence to archaeological and structural standards.

For context, the ongoing restoration work on the actual Parthenon—which involves stabilizing and partially rebuilding damaged sections—has already exceeded €120 million, and it's still underway after several decades.

And here's the deeper truth: even if the money and expertise were available, such a project would raise serious ethical and cultural questions. The Parthenon is irreplaceable—not just for its architecture, but for its historical, symbolic, and spiritual significance. No replica, no matter how precise, could ever capture the essence of the original.

Denmark: Viking-Era Coins and Jewelry Unearthed Near Ancient Fortress

May 3, 2025

A rare trove of Viking treasures—consisting of more than 300 silver coins and various pieces of jewelry—has been discovered in northwestern Denmark, near the site of a historic Viking fortress. The announcement was made by the museum set to exhibit the artifacts.

The remarkable find was made in the autumn of 2022 by a young woman who had been exploring a cornfield with a metal detector. Her casual search led to a discovery that is now being hailed as a significant contribution to Viking-era archaeology.

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Knossos: How Arthur Evans “Stole” the Glory from Schliemann — The Untold Story

May 3, 2025

In the year 1900, British archaeologist Arthur Evans began excavations at Knossos. Today, 125 years later, the site stands as one of the most important archaeological landmarks in Europe. But behind the celebrated story lies a lesser-known rivalry and a twist of fate that allowed Evans to claim a legacy that might have belonged to someone else.

Schliemann’s Missed Opportunity

Heinrich Schliemann—renowned for uncovering the secrets of ancient Troy—was well aware of Crete’s archaeological potential. Fascinated by the island, he suspected that the legendary palace of King Minos might lie somewhere near Heraklion. However, Schliemann ultimately chose to continue his work in the Hellespont region (modern-day northwestern Turkey), rather than commit to a major excavation in Crete.

That decision left the door open for another explorer. Local antiquarian Minos Kalokairinos had already conducted small-scale excavations at Knossos, unearthing two palace storerooms. He held the excavation rights and asked for 100,000 gold francs to relinquish them—a price that Schliemann found too steep, even after tough negotiations brought the asking price down to 40,000 francs. And so, it was not Schliemann but Arthur Evans who seized the opportunity.

Evans Takes the Lead

A museum director from Oxford and an admirer of Schliemann’s work, Evans saw potential in the scattered finds from Kalokairinos’s digs. Beginning in 1895, he gradually acquired portions of the land and, on March 23, 1900, launched full-scale excavations with a team of 30 workers—soon expanded to 100.

What Evans uncovered was astonishing: the sprawling ruins of a palace complex over 3,500 years old. He believed he had found the ancient city-state of Knossos and the home of the mythical King Minos described by Homer. The excavation revealed interconnected buildings, residential quarters, storerooms, staircases, corridors, royal apartments, and a vast central courtyard.

Imagination Meets Archaeology

But Evans’s interpretations were often driven more by imagination than hard evidence. In many cases, he made bold assumptions based on fragmentary findings. Discovering an alabaster chair in one room, for example, led him to designate it the “Throne Room”—a claim still debated today.

He went even further, reconstructing large portions of the palace with considerable artistic license. Early reconstructions were built in wood, later replaced by reinforced concrete. These interventions transformed the ruins into a kind of Minoan “Disneyland” — a visually stunning but heavily interpreted site. While impressive for visitors, these reconstructions have posed serious challenges for modern archaeologists, making it difficult—if not impossible—to draw unbiased conclusions about the original function and design of the buildings.

What We Do Know

Despite the controversy, some facts are clear. Two distinct palaces were built at Knossos. The first was likely constructed after 2100 BCE and destroyed around 1700 BCE by an earthquake. A second, rebuilt palace arose around 1450 BCE, only to be destroyed by fire roughly a century later. That destruction coincides with the end of the Minoan civilization on Crete and the broader collapse of the Bronze Age in the region.

Another drawback for visitors today is the disconnect between the site and its artifacts. Apart from a few replicas, the palace itself is largely empty. The vast majority of original finds—including many stunning artifacts—are housed in the Archaeological Museum of Heraklion. While impressive, this arrangement prevents visitors from experiencing these objects in their original architectural context.

Legacy and Recognition

In 1911, Arthur Evans was knighted for his contributions to archaeology. He passed away on July 11, 1941, at the age of 90. His legacy endures, though not without controversy. While he brought Knossos to global attention, the path he took—and the liberties he exercised—continue to spark debate among historians and archaeologists.

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