Category: History

Witness the transformation across time and interpret the past of human societies while shedding light on the most prominent events.

  • Christmas in Switzerland: Traditions and Celebrations

    Christmas in Switzerland: Traditions and Celebrations

    During Christmas in Switzerland, the air is filled with a fairytale-like ambiance due to the lights, tempting scents, and music. The festive decorations and aroma of fondue and mulled wine fill the air in Swiss towns like Zürich and Geneva. Christmas markets are everywhere in Switzerland, selling regional delicacies and handcrafted goods. Those in search of a white Christmas will find the Swiss Alps to be the ideal location, since the winter season brings snow-covered vistas. The guests of all ages will savor this day, whether they are taking a horse-drawn sleigh ride, going to service at St. Peter’s Church in Zermatt, or seeing Santa Claus (Samichlaus) in Gstaad.

    -> See also: 48 Countries That Celebrate Christmas Widely

    Main Christmas Traditions in Switzerland

    Around 60% of Switzerland is Christian (34% Roman Catholics, 22% Swiss Protestants, and 5.5% others). Despite the decline in Christianity, the number of Swiss citizens who celebrate Christmas has increased. It is clear that the Swiss Christmas celebration has changed over the years, even if nobody knows for sure when it all began. Crowns and advent calendars are traditional Swiss customs that signal the beginning of Christmas, including the Advent windows:

    1. Advent Calendars

    Doors for 15 and 17 December of an Advent calendar at a building in Lucerne, Switzerland.
    Doors for 15 and 17 December of an Advent calendar at a building in Lucerne, Switzerland. (Roland Zumbühl, cc by sa 3.0)

    There are versions of the Advent calendar in Switzerland, which is quite popular in the country. Starting in late November, you can find them on sale at retailers. A little chocolate treat is hidden behind each of the 24 doors in the most popular version of the calendar. On the banks of the River Reuss in Lucerne stands the lighted Advent calendar, the largest in Switzerland. Some Swiss houses also decorate an “Advent Window” to serve as an actual calendar. They open a window or a gift daily from December 1st through the 24th, up to Christmas Eve.

    2. Advent Crowns

    The Christian practice of wearing an Advent wreath (called an Advent crown) marks the beginning of the four weeks of Advent in the Western church’s liturgical calendar. Originally practiced by Lutherans, it has extended to other Christian faiths. There are four candles on an evergreen wreath, but a fifth, white candle might be added to the middle. One Swiss tradition that began on the first Sunday of Advent is to burn a candle while reading Scripture, reflecting on God’s word, and praying. On succeeding Sundays during Advent, one more candle is lit until all four are lit on the final Sunday. A fifth candle, representing Jesus, is lit on Christmas Eve or Day in certain Advent wreaths.

    3. Advent Windows

    Advent calendar window
    Living Advent Windows. (Pswsatdtmarketing, cc by sa 3.0)

    Originating in Aargau, the practice of advent windows did not become widely used in Switzerland until the 1980s. Throughout Switzerland, people often decorate their windows in December, a practice known as Adventsfenster. The designated houses and businesses open their windows nightly during Advent to reveal a festive sight, ranging from nativity scenes to stars. There is usually a feast to mark the opening of an Advent window, when the whole community eats local sausages and drinks mulled wine. As Christmas draws near, this Swiss Christmas custom always brings people together.

    -> See also: All 15 Countries That Don’t Celebrate Christmas

    Samichlaus: The Swiss Santa Claus

    One main aspect of Swiss Christmas customs is the Swiss Santa Claus, or Samichlaus:

    1. Roots: The Swiss Santa Claus figure, Samichlaus, takes his cues from Saint Nicholas, the Greek bishop and gift-giver of Myra in what is now Turkey, who lived in the fourth century. Saint Nicholas, who was noted for his generosity toward children, gave rise to the December 6th celebration of Saint Nicholas Day, when presents were exchanged.
    2. Companion: Unlike the conventional Santa Claus, Samichlaus is shown with his elf companion Schmutzli and dressed in robes reminiscent of a Catholic saint. Schmutzli, meaning “dirt” in Swiss German, is a creature with a charred face who is seen punishing misbehaving children with a broom made of twigs.
    3. Role: Samichlaus makes two appearances to provide snacks and presents to children: on December 6th and, in certain places, on December 11th. This is all part of the Swiss Christmas tradition. His contributions to the practice of trading praise for treats and getting kids to recite poetry or sing songs have made him famous in the first place.
    4. Christkind: Unlike in other nations, where Santa Claus is revered, Swiss Christmas traditions actually ascribe the delivery of gifts on Christmas Eve to the Christkind instead of Samichlaus.
    5. Importance: Samichlaus and Schmutzli have long been part of Swiss folklore, and their practice has developed over the years with elements of Christian and non-Christian traditions.

    Christmas Tree Tradition in Switzerland

    Werdmühleplatz - Singing Christmas Tree.
    Werdmühleplatz – Singing Christmas Tree. (Roland zh, cc by sa 3.0)

    Only about 200 years ago did Christmas trees become a part of the Swiss tradition. The Yuletide centerpiece, the Christmas tree, made its gradual way into Swiss homes in the 1800s. Almost every Swiss household with kids these days has a Christmas tree. It is customary to purchase Christmas trees on Christmas Eve. Freshly chopped trees are also done by hand by certain households. The tree is traditionally unveiled after dinner, and it is decorated with apples, bells, snowflakes, and sugar cookies shaped like festive figures.

    Lightning Actual Candles

    The custom of lighting actual candles atop a Christmas tree is exclusive to Switzerland. On Christmas Eve (when gifts are unwrapped) and New Year’s Eve (for good luck), some Swiss people light actual candles that they place on their Christmas trees.

    Parades and Carol Singing in Switzerland

    Trychle Processions

    During the Christmas season, Swiss communities have parades and sing carols. One unique Christmas tradition in Switzerland is the Trychle processions in the Bern region of Bernese Oberland, which begin on Christmas Day and end on New Year’s Eve. It’s a special way to spend Christmas.

    The members of this group are well known as the “Trychle” because, during their parades, they display traditional attire and either wear large trychlers or trychels, which are similar to cowbells. Cowbells, played throughout the parade, are said to ring out bad spirits and bring good fortune for the new year.

    Cantando il Natale

    On the other hand, other Swiss people in several regions choose to carry paper or cardboard lanterns at Christmas. “Cantando il Natale” refers to the practice of going about town singing Christmas songs while costumed as various characters such as shepherds, angels, or Wise Men. In the month of December, this is a common pastime for many citizens.

    Danzando il Natale

    Locarno, Switzerland, is the site of the annual “Danzando il Natale” event. It is a Christmas-themed dance or performance and performers at the event showcase Christmas-themed dance routines and other forms of creative expression. Tickets to this event can be bought online.

    Christmas Meal in Switzerland

    Berner Haselnusslebkuchen are Lebkuchen – traditional Christmas cakes – from Berne, Switzerland.
    Berner Haselnusslebkuchen are Lebkuchen – traditional Christmas cakes – from Berne, Switzerland.
    • Christmas ham and scalloped potatoes cooked with melted cheese and milk make up the main course of the Swiss Christmas Eve supper.
    • Many people love this dish. Aside from scalloped potatoes and Christmas ham, there are other meals depending on location and taste.
    • The most common Christmas desserts are walnut cake and Christmas cookies.
    • Mulled wine, or “Glühwein,” is the drink that accompanies this dinner and sets the mood for the evening.

    Popular Christmas Foods in Switzerland

    1. Filet im Teig: This is a traditional Swiss Christmas dinner meal consisting of sausage meat wrapped in pastry, is a crowd-pleaser.
    2. Fondue Chinoise: The beef fondue known as Fondue Chinoise is a traditional holiday appetizer or New Year’s Eve dinner.
    3. Chestnuts: Roasted over an open flame or doused in syrup, chestnuts are a traditional Swiss snack no matter the time.
    4. Basler Brunsli: These almond biscuits, which resemble macaroons, are made in Italy but are beloved in the Italian-speaking canton of Ticino in Switzerland.
    5. Amaretti: Seasonal favorite cookies with a soft, chewy texture and an almond taste.
    6. Rösti: Typically served as a side dish with pork fondue, Rösti is a Swiss potato dish.
    7. Zürcher Geschnetzeltes: It’s a sautéed beef dish prepared in the Swiss way.
    8. Grittibänz: The Grittibänz, sometimes called Hanselmanne or Bonhomme, are luscious, sugary cookies prepared with egg and milk dough, raisins, and an egg wash to give them a golden sheen.
    9. Lebkuchen: The German-speaking Swiss love their lebkuchen, a kind of Christmas cookie that is prepared with honey and spices (allspice and aniseed).
    10. Pain D’epice: This is a French bread cake whose recipe is made with rye flour, honey, cinnamon, cloves, anise, and nutmeg.
  • Sieges in the Middle Ages

    Sieges in the Middle Ages

    The siege in the medieval period was one of the most crucial components of warfare at that time. During the medieval era, sieges were much more common than field battles because they were cheaper and required a smaller army, resulting in lower losses. A besieger, after a successful siege, gained much more territory and gains than if they had fought a battle. The siege tools and machines of the early medieval period were often based on older, ancient designs, showcasing the effectiveness of ancient siege techniques. However, these machines soon began to improve, leading to the development of new siege tactics and siege engines.

    Considering that every European ruler wanted to maintain control over their land, castles began to be constructed. Initially, castles copied defense techniques from ancient fortifications, but later, new methods of defense were introduced. Castles featured moats, drawbridges, circular towers, double walls, and more defensive structures. The pinnacle of the medieval period is referred to as the golden age of castles. However, this doesn’t mean that offensive methods were not being perfected. The trebuchet was the first original siege engine of the medieval period. It was invented towards the end of the 12th century and became widely used in the 13th and 14th centuries. Eventually, cannons began to be used, altering the nature of medieval warfare and marking the end of castles and, consequently, medieval siege techniques.

    Sieges in the Early Medieval Period

    Greek Fire Catapult.
    Greek Fire Catapult.

    In the early medieval period, all siege engines were replicas of ancient machines. Defensive structures were entirely similar to those in ancient times. It is more than likely that the quality of these machines and structures was inferior to their ancient predecessors due to a decline in manufacturing standards and a lack of skilled individuals. However, towards the end of this period, the machines began to improve and carry the traditional features of medieval warfare.

    Frequent wars and, consequently, sieges were common in early medieval Europe. This was caused by frequent invasions and the instability of the states at that time. The Byzantine Empire retained traditional Roman siege techniques and also invented new, effective weapons. The most impressive weapon of that era was Greek fire. Greek fire was likely invented by the Syrian engineer Callinicus of Heliopolis. It was a flammable mixture that ignited and exploded after a certain time.

    Greek fire was widely used in naval battles as well. The Byzantines considered Greek fire a gift from the gods, and the composition of this weapon was so jealously guarded that the formula and manufacturing process remain unknown. The main component was likely naphtha, with other ingredients possibly including ice, sulfur, resin, and petroleum. Greek fire proved itself many times, and its use is credited with prolonging the existence of the Byzantine Empire. Although the composition of this weapon was carefully guarded, eventually, Arabs and likely the French started using Greek fire.

    When the Roman Empire fell in 476, its military and, therefore, its siege techniques were adopted by the barbarians. The quality of weapons was initially lower than in ancient times, but constant wars led to their improvement. Barbarians settled in former Roman cities and quickly learned Roman ways. Medieval warriors used the books of the ancient Romans as their main source of information. A significant contribution in this regard was Vegetius’ work, “De Re Militari” (“Concerning Military Matters”). In this book, Vegetius describes siege tactics and provides readers with various pieces of advice. Towards the end of their empire, the Romans started using purely medieval siege structures. Circular towers, often attributed to medieval siege techniques, were actually invented by the Romans, and medieval warriors rediscovered them only at the end of the early medieval period. Water-filled moats, drawbridges, and grates, which were later adopted by the barbarians, were also employed.

    -> See also: The Technologies of the Roman Empire Ahead of Their Time

    The Emergence of Castles and Their Utilization

    The castle was a unique medieval structure, and the existence of castles is tightly associated with this period. Castles originated in the 10th century, and their significance declined during the 16th century. The main reason for the decline of castles was the discovery of gunpowder and the invention of cannons. The castle served as accommodation for the social elite, who were concerned about their safety.

    The castle had multiple functions: it protected its inhabitants, guarded trade routes, and served as a strategic point for all armies. Castles were built on the smallest possible territory, which brought numerous advantages. The construction of a castle was cheaper, required fewer soldiers for defense, and provided attackers with fewer options for assaults. Determining the exact origin of the first castles is challenging. So far, the oldest discovered castle was built around the year 950 in France and was named Doulé-la-Fontaine. Although Doulé-la-Fontaine Castle was constructed from stone, during the same period, there were common fortifications with earthworks.

    These fortifications had several advantages but also disadvantages. Since their defenses consisted of earth mounds, ditches, and palisades, this type of fortification was very cost-effective and could be erected during wartime. The downside of earthwork fortifications was the need for frequent repairs, as the mounds quickly deteriorated. This type of fortification was called motte-and-bailey, where “motte” refers to a mound and “bailey” to outer fortifications or the castle courtyard.

    The shortened term is motte. Similar to stone castles, determining the origin or development of motte fortifications is challenging. Historians and archaeologists have come to the conclusion that the first motte fortifications originated in France or Flanders, with the estimated time of origin being the 10th century. The primary reason for constructing a motte was frequent enemy raids, necessitating a quickly fortified point provided by the motte. The largest concentration of this type of fortification was found in Normandy and Brittany.

    Over time, stone castles emerged from the motte fortifications. The Normans, who settled in the region of Normandy, were pioneers in siege techniques and were the first to extensively construct stone castles. In the eleventh century, there was a mass construction of stone castles, and the use of motte fortifications declined. The increase in the number of castles was driven by the stabilization of Europe and European states, which sought to defend their territories with stone castles. Some progress was also noted in defensive techniques.

    Circular towers were erected in newly built castles (though square towers were increasingly visible), offering greater resistance to enemy attacks. Elements of Byzantine and Arab defensive techniques were introduced and brought back by crusaders returning from their expeditions. A medieval castle was constructed primarily from stone, but a synthesis of stone and earthworks was not uncommon. Castles of that time lacked a moat, drawbridge, portcullis, and fortified gates, which became integral parts of high medieval castles.

    High Medieval Castles

    Constantine the Emperor of the Greco-Romans exits fearless into the battle on 1453 May 29.
    Constantine the Emperor of the Greco-Romans exits fearless into the battle on 1453 May 29.

    High medieval castles represented a synthesis of the best practices from both ancient and medieval times. Old, ancient defensive strategies, such as circular towers and drawbridges, reappeared during this period. The re-emergence of ancient defensive practices was mainly influenced by a growing interest in Roman literature. However, it was not only the influence of ancient literature. Sieges were frequent during the medieval period, allowing castle builders to observe the effectiveness of castles and learn from their mistakes.

    The development of high medieval castles was significantly influenced by Byzantine and Arab fortifications. The Byzantines and Arabs, engaged in constant warfare, mutually influenced and copied each other’s defensive strategies. The Byzantines, in particular, were masters of siegecraft, as they were often the ones under attack from neighboring aggressors. During the Crusades, European warriors encountered magnificent oriental fortresses. The massive walls of the city of Constantinople made the greatest impression on the Crusaders and inspired some medieval castles.

    During the Crusades, the Crusaders learned to build highly impressive castles, with one of the best examples being the Krak des Chevaliers. These castles exhibited a phenomenon that emerged in Europe over the next few years. Not only were they the first concentric castles (see below), but there was also an increased emphasis on external walls.

    In early medieval castles, the greatest emphasis was placed on the outermost wall (of course, if the castle had more than one wall) and especially on the main defensive tower. The main defensive tower was typically the site of the toughest battles. In high medieval castles, the main defensive tower represented the last place of refuge (the castle defenders usually surrendered before the battle for this tower began). Most high medieval castles had double walls and, together with several other elements, formed concentric castles. The outer walls were lower than the inner walls, a design choice made to facilitate the defense of the castle. This ensured support for besieged units shooting from the higher walls. Castles of this type were constructed throughout Europe, with the greatest number found in France and England.

    Many cities and small states were able to maintain their independence thanks to their powerful castles. Castle construction was a relatively expensive undertaking, but it paid off. Castles were much cheaper than future modern fortifications.

    Castles varied, but a typical high medieval castle can be described: it had a moat that not only prevented attackers from approaching the walls directly but, more importantly, protected the castle against hostile mining. Towers were mostly circular in shape, as these towers were more resistant to attacks and mining. Gates were heavily fortified, featuring a drawbridge and one or two portcullises. The castle was, of course, of the concentric type and was built on an elevation. A castle described in this way posed a formidable challenge to any army.

    Siege Weapons of the Early and High Middle Ages

    Counterweighted trebuchet in preparation for launch.
    Counterweighted trebuchet in preparation for launch.

    Siege weapons of the early and high Middle Ages were, without exception, replicas of ancient machines, and their construction was only slightly modified. Typical medieval weapons such as trebuchets or cannons began to be used only in the late Middle Ages. Given that castle construction was continually improving, it is not entirely clear why siege weapons did not also see improvement. One reason may be that these weapons remained effective.

    However, archaeological finds suggest that attackers were often defeated. Another reason may be that medieval builders or engineers simply did not have access to enough suitable technologies or trained engineers. This indirectly confirms the invention of powerful siege weapons in the late Middle Ages, coinciding with a greater proliferation of knowledge and advancements in metallurgy. Although the high medieval castle was increasingly sophisticated, there was still a chance of its conquest. Medieval warriors had a choice of many more or less effective siege weapons.

    One of the simplest and most primitive weapons was the ordinary ladder. The medieval ladder was almost always made of wood and equipped with hooks or teeth that could be lodged in the walls. The ladder was a widely used weapon and could be seen in almost every siege. A mechanism that could lift ladders onto the wall was also observed. Every medieval castle was unique, so the height of its walls differed from others. This meant that not every ladder could be used to conquer a specific castle. Medieval soldiers addressed this by making ladders on-site to ensure that the ladder would reach the walls (though this often failed). Another simple siege weapon was the battering ram.

    There were sophisticated battering rams covered with a wooden roof, mounted on wheels, suspended on a frame by ropes and chains, and equipped with a metal head. The common ancient practice of placing the battering ram on a crane was “forgotten” in the Middle Ages. Of course, very simple battering rams were also seen, representing nothing more than a wooden log. Undermining the walls was highly effective. Attackers dug beneath the walls and either destroyed the foundations or created a tunnel through which the attacker could directly access the castle. High medieval walls countered this by building moats and circular towers. If the tunnel was dug too close to the ground, the water from the moat could destroy the tunnel. Defenders often led counter-mining efforts to surprise attackers and collapse their tunnels.

    One of the most impressive siege weapons was the siege tower (also known as a belfry). Although medieval siege towers were quite effective, they could not be compared to their ancient counterparts. The construction of medieval towers was often imperfect, and their overturning or destruction was not uncommon. Many men lost their lives when their siege tower collapsed on its own.

    Towers, like ladders, were often built on-site during a siege. They were as tall or even taller than the enemy walls, and a bridge was placed on top of the tower, allowing attackers to reach the walls. Siege towers could be equipped with catapults and battering rams to increase their offensive power. Siege towers were, of course, equipped with wheels. Protection was often provided using metal plates, rawhide (against fire), or willow twigs. They were transported to the walls either by soldiers or by animal teams, but the use of a crane also became practical. If the tower was well-built and had sufficient protection, it posed a very dangerous threat to any castle.

    The last type of siege weapon was a projectile thrower. They worked on two principles: either using the bow principle (firing arrows) or utilizing twisted ropes. Machines firing arrows were used to clear enemy battlements of archers and other soldiers, while machines throwing stone projectiles were used to damage or destroy walls. Arrows were often equipped with a metal head, and projectile-throwing machines could launch metal bolts and barrels of Greek fire. Like all siege weapons of the time, projectile throwers were replicas of Roman machines, as evidenced by the names of these machines (ballista).

    Undoubtedly, the most widely used projectile thrower was the mangonel. The mangonel was the successor to the ancient onager. It was used to launch stone projectiles, and its production was inexpensive and relatively fast. It was often equipped with wheels (like other machines), and its effective range was around 360 feet. An effective medieval tactic was also deception. Attackers would assault the castle in the evening, using ladders to get inside. If lucky, they could manage to open the gates. Betrayals were common, where a citizen or soldier of the castle intentionally opened the gates for the attackers.

    Siege of the Late Middle Ages

    The sieges of the late Middle Ages were influenced by two major inventions. The first was the trebuchet, and the second was the invention of the cannon. The trebuchet was the first original siege weapon in the medieval world. It is challenging to pinpoint its exact invention. Some historians argue that it was invented in ancient times, but no trebuchet findings were made in the early Middle Ages, contradicting this claim. The first written mention comes from the first half of the 12th century. It is not entirely certain whether this written testimony refers specifically to the trebuchet or some other siege weapon. The trebuchet certainly began to be used around the turn of the 13th and 14th centuries, but there is speculation that it might have been used as early as the beginning of the 13th century.

    The trebuchet launched stone projectiles but differed significantly from weapons like the mangonel. The trebuchet did not use a twisted rope system at all but operated on the principle of a counterweight. Experiments conducted by Napoleon III show that a trebuchet could hurl a stone weighing 24 pounds at a distance of 597 feet. Modern experiments demonstrate that to throw a stone weighing one ton, 24 tons was needed as a counterweight. In these experiments, it was found that the trebuchet was an exceptionally accurate weapon.

    The trebuchet was also the first weapon that truly threatened the existence of castles. According to contemporary accounts, a trebuchet could, after several shots, destroy less sturdy walls. Defenders of castles also attempted to use trebuchets, but their use within the castle was not very practical and was soon abandoned. Although the trebuchet was a very powerful weapon, capturing a well-fortified castle was still no easy task. Nevertheless, it was an invaluable weapon that made life easier for many medieval warriors.

    Another and even more powerful weapon that ultimately put an end to the dominance of castles on the battlefield was the cannon. The Chinese were the first to manufacture cannons, but they couldn’t appreciate their qualities and lacked skilled metallurgists, so they made cannons out of paper or bamboo. It was only in Europe that cannons began to be made of iron. However, iron furnaces were not yet known at that time, so the cannons of that era could not be cast. Cannons were made by welding iron rods around a cylindrical core, and then iron hoops were threaded onto this welded tube. The first cannons were quite imperfect and were more suited for intimidating soldiers and horses than for destroying castle walls. It wasn’t until later that cannons were fully appreciated, and all European countries began mass-producing them.

    The first to use cannons in a major siege were not Europeans but the Ottoman Empire. It happened in 1453, during the siege of Constantinople. Mehmed II, the Conqueror, hired a Hungarian defector named Urban, who was to build giant cannons to help conquer Constantinople. These cannons were so large that they had to be cast right in front of Constantinople because their transport would be very complicated. From cannons at that time, not much was expected; they were to be placed in one location (further manipulation with such heavy cannons was very difficult) and fired until the enemy walls collapsed. Constantinople eventually fell, largely due to the cannons.

    Castles across Europe succumbed one after another due to their unpreparedness against cannons. Castle walls were high but not very strong, designed so that attackers could not easily overcome them. However, these “thin” walls were vulnerable to cannons, which quickly destroyed them. This does not mean the end of fortifications. In the early modern age, sieges remained an important component of warfare, and even today, fortifications (bunkers) are built for the purpose of protection.

    New fortresses began to employ new defensive tactics, and cannons started to be used within fortresses. These fortresses were very expensive, and only the wealthiest rulers, nobles, and cities could afford them. This resulted in the conquest of many small, independent states. The era of castles came to an end. With the invention of cannons, castles practically ceased to be built. Instead, the social elite began constructing more luxurious residences—castles. Although fortifications were still constructed, they never again dominated a region in the way castles did in Europe.

  • Helepolis: One of the First Siege Engines

    Helepolis: One of the First Siege Engines

    The Helépolis or Helépola (in Greek ἑλέπολις, city taker or conqueror) was an ancient siege engine, specifically a type of large-scale siege tower or bastion developed during the reign of Alexander the Great. It was used with great success in the sieges of various cities during the Hellenistic period. The most famous one was built by Epimachus of Athens for Demetrius I of Macedonia to besiege fortified locations. Helépolis was valuable for the artillery concentrated within it, particularly the various-caliber artillery pieces that adorned all its floors.

    According to Biton, the Macedonian Posidonius, during Alexander’s reign, built one that was 14.50 meters tall. The majority of the structure was made of wood, pine and fir for partitions, oak and ash for rolling elements, axles, wheels, props, and main beams. On the penultimate floor, there were cantilevered bridges equipped with rigging to hoist them.

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    Large wheels were placed between the beams of the base platform in a vertical position, similar to hamster wheels, capable of driving the tower’s driving wheels. They served as a support device after the tower was brought close to the wall.

    The First Helépolis of Demetrius Poliorcetes

    When Demetrius Poliorcetes was about to besiege Rhodes, he proposed constructing a machine called the City Conqueror. Its shape was that of a square tower, resting on four wooden wheels. It was divided into nine floors: the lower ones contained machines for launching large stones; the middle floors housed large catapults for spear-throwing; and on the upper levels, there were other machines for hurling smaller stones along with smaller catapults. In addition to those who turned the sizable winch that drove the wheels through a belt, 200 soldiers operated it. It proved to be very slow but very powerful.

    The City Conqueror

    Siege of Rhodes 305–304 BC. Demetrius employed a Helepolis against the defenders of Rhodes.
    Siege of Rhodes 305–304 BC. Demetrius employed a Helepolis against the defenders of Rhodes.

    During the significant siege of Rhodes (305 BC–304 BC), Demetrius employed a Helépolis against the defenders of Rhodes, of even larger dimensions, complicating the construction after attempting to mount two of them in the harbor on two pairs of ships.

    The new Helépolis, in addition to eight enormous solid wheels with wooden covers nearly a meter thick, also had pivot wheels to allow lateral movement and lighten the pressure of this structure on the ground. Its shape was that of a large pointed tower, with sides measuring about 41.1 meters in height and 20.6 meters in width, surpassing the towers of the walls of Rhodes.

    Parallel beams, with less than half a meter of separation, forming part of the lower floor, could accommodate nearly a thousand men between them to propel it from the inside.

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    Many more were needed outside to give it speed. Diodorus Siculus says that 3,400 soldiers, the strongest, were selected to move the Helépolis.
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    The three sides exposed to attack were heat-resistant and protected with iron plates in case the Rhodians attempted to set it on fire. At the front of each floor was a gate, protected by shutters made of skins covered with wool, which could be mechanically opened or closed to cushion the impacts of stone projectiles thrown by the defenders.

    Each of the nine levels had two wide staircases for both ascent and descent. On each floor were weapons that launched projectiles, such as ballistae and catapults, the smallest ones and larger ones on other levels. On the upper floors were stone throwers (litobolos) and a whole series of launching machines, such as oxibels (huge and evolved gastraphetes) and ballistae that fired both arrows and javelins and were lighter than catapults. On the lower floors, catapults and other launching machines for immense stone projectiles, weighing almost 90 kg, were installed.


    In summary, this Helépolis was an immense siege tower that required more than half a kilometer of cleared and terraced ground up to the walls. It rolled at a higher speed than its “smaller counterparts,” featured multiple levels of platforms with various launching machines, and was an exceedingly effective siege engine, even though it lacked protruding overhangs and ramps from which troops could launch assaults on enemy fortifications.

    Epimachus of Athens constructed the Helépolis, and Diekles of Abdera provided a faithful description of it. Undoubtedly, it has been the most significant and remarkable contraption of its kind ever erected. Another, more comprehensive description is provided by Diodorus Siculus:

    Having gathered a certain amount of varied materials, he had a machine built called Helépola, much larger than the previous ones. Indeed, he gave each side of the square platform a length of about 50 cubits (22.20 m), constructing a set of square-sectioned wooden pieces joined with iron. He compartmentalized the interior space with partitions spaced about a cubit (44.40 cm) apart so that those who were to push the machine forward could fit. The entire mass was mobile, supported by eight solid and large wheels; their wooden rims were two cubits thick and surrounded by sturdy iron plates. For lateral movements, inverters were arranged, allowing the entire machine to be easily displaced in any direction. At the corners, there were masts of equal length, slightly less than 100 cubits, inclined so that in the nine-story structure, the first had an area of 43 scenes, and the last had nine. Three faces of the machine were externally covered with nailed iron plates to prevent incendiary arrows from causing any damage. On the side facing the enemy, the floors had windows whose size and shape were adapted to the characteristics of the projectile engines to be used; the windows had shutters that could be raised by a machine, ensuring the protection of those responsible for the service of throwing weapons on different floors, as these shutters were coated with skins and filled with wool to cushion the blows from stone throwers (litobolos). Each floor had two staircases; one was used to bring up the necessary materials, and the other for descent, so that the entire service could be carried out without disorder. Those tasked with moving the machine were chosen from the entire army for their strength and totaled 3,400; some were enclosed inside, others positioned behind and at the sides, all pushing the machine forward, whose movement was greatly facilitated by technical procedures.


    After the siege, the machine was abandoned, and the people of Rhodes melted down its metal plates. With the materials, they constructed the Colossus of Rhodes. Subsequently, the name Helépolis was applied to mobile towers that transported battering rams, as well as machines for launching spears and stones.

  • Harpax: A Roman Naval Weapon Fired to Capture a Ship

    Harpax: A Roman Naval Weapon Fired to Capture a Ship

    The harpax (Greek: ἅρπαξ) was the designation for a Roman naval weapon used for long-range capture of an enemy ship to attach to it and decide face-to-face combat. It was a long and heavy harpoon, with a grapnel attached at one end and a long rope at the other. It was launched by a ballista, and once hooked, it was pulled by the attacking ship using a winch (like a windlass). The harpax is credited to have been invented by Marcus Vipsanius Agrippa, the commander of Octavian’s fleet, and was first successfully used in the Battle of Naulochus (36 BC) against Sextus Pompey’s fleet.

    The First Appearance of the Harpax in Battle

    Its first appearance in a naval battle occurred on September 3, 36 BC, in the Battle of Naulochus, where Octavian’s new fleet faced Sextus Pompeius’ fleet. The results of the battle demonstrated the significance and effectiveness of the “harpax” in naval combat.

    Battle Results:

    Sextus:

    • 17 ships managed to escape with Sextus.
    • 28 ships were sunk.
    • 135 were captured by Agrippa’s fleet.

    Octavian:

    • 3 ships were sunk.

    The Harpax in Historical Sources

    ballista harpax

    We only have knowledge of the iron hook fired from a catapult and called “harpax” from one source: Appian, the Greco-Roman historian from the 2nd century AD. He writes that leading up to the naval battle at Naulochus between Agrippa and Pompey, each side prepared 300 ships.

    “These ships…carried various types of siege engines, towers, and all the devices that each side thought fit to set up. Agrippa invented a machine called the harpax (ἁρπάγη), a grapnel five cubits long reinforced with metal rings, with a ring at each end. One ring was attached to the harpax, an iron grapnel, and the other ring to double ropes. The harpax was fired by a catapult, and after catching an enemy ship, it was pulled by the machine.”

    On the appointed day, both sides positioned their ships in a straight line for battle. Upon receiving the signal, ships from both camps rushed headlong toward each other, and during the strenuous rowing, they showered their enemies with javelins, stones, burning braziers, and arrows, some of which were shot from catapults and others thrown by hand. When the distance was narrowed, the ships collided. Some ships rammed the sides of their opponents, while others broke through the center of the formation, all the while firing missiles and throwing darts. The main effort was to disable the movement of the rival ship or to seize it in order to decide whether to engage in face-to-face combat with the soldiers on the ship.

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    “The harpax achieved the greatest success,” says Appian.

    “It could be thrown onto the enemy ships from a great distance due to its low weight, and when pulled back with the ropes, it held on firmly. Because of the iron hook’s grip, people couldn’t easily detach it, and its length made it difficult for them to cut the ropes. Since this device was unfamiliar to them before, and therefore they did not counteract it with poles at the ends like levers, they could do nothing in this unexpected situation except to retreat to resist the pull. But since the enemy did the same, the efforts on both sides were equal, and the harpax did its job.”

    The Roman Navy until the Punic Wars

    Until the First Punic War in 264–241 BC, the Roman navy was relatively small and undeveloped, consisting of a small number of ships whose main role was patrolling rivers and the shores of Rome and its surroundings. The primary naval warfare strategy involved grappling with enemy ships and minimal archery. This method required agility and speed superior to those of the adversary.

    Rome in the Punic Wars and the Development of the Corvus

    The Romans' boarding device called the corvus, enabled them to board and seize enemy ships.
    The Romans’ boarding device called the corvus, enabled them to board and seize enemy ships. J. S. Davis: Battle of Mylae in 260 BC (c. 1900).

    With Rome’s entry into the First Punic War against Carthage, there arose a need for a large and modern navy that could withstand the Carthaginian fleet and its superior maneuverability.

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    The Romans entrusted the construction of their ships to their allies due to their lack of experience in building warships. The innovation that the Romans introduced to their warships to counter the Carthaginian fleet was the “corvus” or “raven.
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    The Corvus (Boarding Device)

    The “corvus” was a naval attack device consisting of a boarding bridge that captured the enemy ship when it was close and allowed the Roman infantry to seize control of it. The rationale behind this device was the understanding that the Carthaginian navy was faster, had better maneuverability, and had more experience than the Roman navy. Rome’s advantage lay in its infantry, so by neutralizing the navigation ability of Carthaginian ships using the “corvus,” the Roman infantry could take control of the enemy ships.

    Polybius provides a description of the “corvus” in his history books, stating:

    “Since their ships were unsteady in structure and slow, they fitted them with an auxiliary fighting machine called later the ‘corvus’, constructed as follows: on the prow of the trireme, they set up a round pole, seven meters in height, and the diameter of its base was twenty-two centimeters. On top of it was mounted a pulley, and around it was a camel made of two and a half-inch-thick planks, twenty-two meters in width and ten and a half meters in length. It had a hole lengthwise through which the pole was inserted, set about three and a half meters from the inner end of the camel. On both long sides of the camel was a railing the height of a man’s knee. At the outer end of the camel was fixed a piece of iron similar to a sharpened plowshare, with a ring at its head, resembling an instrument used for threshing grain. To this ring was fastened a rope, and during a battle, when the ship was grappled, they lifted the ‘corvus’ by means of the pulley, with the grain-threshing instrument hanging down, and dropped it onto the deck of the enemy ship through the hole in the camel. Then they hauled it up against the side with ropes during the engagement, either running it into the enemy’s side through the railing on the camel or swinging it around to meet attacks from the side.”

    Maritime Development from the Punic Wars to the Battle of Naulochus

    The evolution of naval warfare from the Punic Wars until the Battle of Naulochus witnessed the efficacy of the “corvus” in the First Punic War, leading to Roman triumphs over the Carthaginian fleet. However, beyond victories over the Carthaginian navy, the device revealed its drawback by unbalancing Roman ships during open-sea maneuvers, resulting in more Roman ships sinking than being lost in battles. Following two severe disasters in 255 and 253 BC, where the Roman fleet lost half its strength due to the instability caused by the “corvus,” it was decided to abandon its usage.

    After the Punic Wars, larger warships were developed, capable of carrying more weaponry, such as ballistae, and soldiers. During the conflict against Sextus Pompeius in Sicily, Octavian entrusted Agrippa with the task of rebuilding the navy after it suffered severe damage.

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    Agrippa, as part of the preparations, trained and prepared the Roman fleet for war against Sextus Pompeius in western Sicily. In this process, the “harpax” was introduced.

    The Harpax and its Characteristics

    The “harpax” served the same purpose as the “corvus,” connecting two ships for boarding but with numerous improvements enhancing Agrippa’s fleet’s military capabilities. Described by Appian, the “harpax” was a device consisting of a wooden pole about 7.2 feet long, reinforced with iron rings to prevent easy breakage. Launched from a ballista mounted on the ship’s stern, the side facing the enemy ship was equipped with an iron ring containing sharp hooks. These hooks were intended to embed into the enemy ship. On the other side of the “harpax,” there was an additional ring to which ropes were attached. After the hooks were embedded in the enemy ship, the crew pulled the ropes, drawing the enemy ship closer for boarding.

    Subsequent Use of the Harpax in Octavian’s Fleet

    Following the Battle of Naulochus, the harpax continued to be a central tool in Octavian’s fleet. It was also deployed in the final naval engagement, the Battle of Actium.

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    In this battle, Octavian emerged victorious over the fleet of Marcus Antonius and Cleopatra, thereby eliminating the last threat to his authority in the Roman Empire.

  • Ancient Infantry: From 9000 BC to 200 AD

    Ancient Infantry: From 9000 BC to 200 AD

    The infantry in ancient times constituted the most crucial component of armies. The well-known examples include Greek phalanxes and Roman legions, but other military formations were equally vital. Infantry was present in all ancient armies, forming their most essential part for the majority of the time. During antiquity, there was a significant evolution in infantry tactics, accompanied by the emergence of diverse weapons. Most foot soldiers of that era fought with spears, swords, javelins, and bows. Perhaps the most potent weapon was the sword, a symbol of war even today.

    Initially, ancient infantry was modestly equipped, armed only with spears and shields. Gradually, infantry started using armor, swords, bows, and various other weapons. As mentioned, the strongest infantry forces belonged to the Roman Empire and Greece. Their armies were nearly invincible, as evidenced by the vast extent of their territories. As infantry declined towards the end of antiquity, it coincided with the decline of the entire Roman army. In 476, the fall of the Roman Empire occurred, marking the end of ancient times, but infantry remained a crucial part of armies into our era.

    The First Ever Infantry

    Since around 9000 BC, with the advent of settled agricultural communities, warfare began to evolve. Disciplined and hierarchical agricultural societies started forming organized armies. The ownership of permanent territories created the need for large battles where the victorious army could destroy the defeated one, securing additional necessary territories for their leaders. With the advent of civilization, the need for organized, striking units arose.

    The phalanx, a formation of infantry fighting in a closed formation with spears or pikes, is one of the oldest military formations. The name “phalanx” itself comes from Greek, meaning a cylinder. Its history is closely tied to the armies of ancient Greece and Alexander the Great, but phalanxes were used two thousand years earlier by the armies of city-states in southern Mesopotamia, which emerged around 3000 BC.

    At that time, most weapons were made of low-quality bronze due to a lack of tin in the Middle East. Many weapons archaeologists find from that period are made of silver or gold, often deposited in the tombs of kings or aristocracies. Still, it is assumed that these are enhanced versions of standard field weapons, mainly spears, axes, and daggers. Spears at that time were evidently designed for stabbing at short range, not for throwing, and their tips were securely attached to the shaft to remain in place even after penetrating an enemy’s body or shield.

    Axes had rounded edges capable of crushing the helmets and skulls of enemies. Elaborately decorated daggers served as last-resort backup weapons. Considering the importance of fortifications in Sumerian warfare, it’s intriguing that archaeological finds lack throwing weapons, although their use is not entirely unknown. The main component of Sumerian armies probably consisted of phalanxes, standing in the center during battles, while light units with spears and axes fought on the flanks.

    Ancient Egyptian Infantry

    Egyptian infantry. E. Wallis. 1875.
    Egyptian infantry. E. Wallis. 1875.

    During the Old Kingdom of Egypt (circa 2650–2150 BC), the army consisted of conscripts numbering several tens of thousands, supplemented by mercenary fighters from the Nubian tribes south of Egypt. After the fall of the Old Kingdom, the Middle Kingdom (2050–1640 BC) emerged. The Middle Kingdom’s army was composed of conscripts, where one man from every hundred inhabitants had to serve.

    Professional commanders, subordinate to the pharaoh, led the army. Records indicate the existence of commanders of strike units, suggesting the presence of heavy infantry units even at that time. Around 1720 BC, Egypt was invaded by the Hyksos, Semitic people advancing from behind the Sinai, exploiting the country’s political discord and their technological advantage to subjugate Egypt, which they accomplished in 1674 BC. The Hyksos altered Egyptian military culture by introducing technologies from the Near East. They taught the Egyptians to build fast and sturdy chariots for decisive military actions, produce high-quality bronze weapons, and craft composite bows.

    The New Kingdom army (1565–1085 BC) combined Egyptian organization, Hyksos techniques, and a new doctrine based on aggressive maneuvers. The core of the army comprised professionals highly motivated by promises of loot, slaves, and land, giving rise to a new warrior caste. During times of war, this army was supplemented by conscripts, each of whom underwent basic training. Egyptian infantry was organized into companies of 250, further divided into squads of 50. There were two main types of infantry: archers, who were fully equipped with composite bows at the Battle of Kadesh, and the Nakhtu-aa (shock troops).

    At that time, archers only wore loincloths and were apparently not intended to engage with the enemy directly. However, there was some development in the equipment of Nakhtu-aa soldiers. They were equipped with spears with broad heads, short axes with small bronze heads, and wooden shields with a round upper part. From 1500 BC onwards, armor became common—mostly a reinforced fabric encircling the body, but leather or bronze helmets were also used. Infantry tactics relied on massive salvos of archers, which could decide battles considering the power and accuracy of composite bows (with a range of over 655 feet), the training level of Egyptian archers, and the lack of suitable armor at that time. Archers were evidently deployed in ranks and trained to shoot in salvos, supporting the advance of war chariots or Nakhtu-aa.

    The Egyptian infantry also included mercenaries. The Medjay were members of Nubian tribes used as archers in the early New Kingdom. Mercenaries from maritime nations were also employed. During the Battle of Kadesh, Ramesses II had personal guards from the Sherden tribe. The Sherden were the first specialized swordsmen in history, and the metal sword is undoubtedly a weapon of Indo-European nations. Swords were likely initially made of bronze, but iron usage increased around 1200 BC.

    Assyrian Infantry

    The Diversion of an Assyrian King by Frederick Arthur Bridgman. Oil on canvas. 1878.
    The Diversion of an Assyrian King by Frederick Arthur Bridgman. Oil on canvas. 1878.

    “I pierced the throats of raging lions, each with a single arrow.”

    Ashurbanipal

    The Assyrians, alongside the Hittites, were among the first to extensively utilize iron. Unlike tin, which was scarce in the Middle East, iron was abundant, allowing for the production of higher-quality weapons than those made of bronze. Additionally, iron weapons could be mass-produced, enabling the equipping of truly immense armies. In 845 BC, Ashurnasirpal III, the son of Shalmaneser III, marched into Syria with an army of 120,000 men, while the Egyptians had approximately 20,000 men at Megiddo and Kadesh. Shalmaneser III waged war for 31 of the 35 years he spent on the throne. The pinnacle of these conflicts was the Battle of Qarqar in 853 BC, where the Assyrians emerged victorious but suffered heavy losses. At this stage of expansion, the Assyrian army included strike units of war chariots and cavalry, but the backbone was the infantry.

    In the Assyrian army, farmers were temporarily conscripted during the summer and released during harvest time to avoid disrupting the agricultural calendar. Archers played a significant role in the Assyrian army. They supported the war chariot attack by shooting from behind shields held by spearmen. Both types of units wore typical Assyrian conical helmets and sleeveless cloaks extending to the ankles—likely made of leather with vertically attached bronze strips. Archers also played a vital role in the siege of cities. Depictions on gates from that era show that each archer had his own shield-bearer, protecting him from enemy projectiles.

    After Shalmaneser’s death, weak kings ruled, and the empire declined for eighty years, eventually falling into subjugation to its hated rival, Babylon. Then Tiglath-Pileser III (745–727 BC) revived the empire. He implemented extensive reforms in the army. Under his successors, the empire reached its greatest extent. Tiglath-Pileser III replaced farmers with conscripts from each province and also demanded contingents from vassal states. Images from Tiglath-Pileser’s era again depict pairs of archers and shield-bearers, but shields are often replaced by tall, portable reed barriers covered with leather or metal, curved at the top to protect the pair from projectiles at a steep angle. By 700 BC, different formations were also in use. Panels from Nineveh dating between 700 and 692 BC, displayed at the British Museum, depict scenes from Sennacherib’s campaigns.

    One panel shows the attack on the Jewish city of Lachish in 701 BC. In the foreground stands a phalanx-like formation of shock troops, deep in six to seven rows, armed with circular shields and 6.5-foot-long spears raised above their heads. The soldiers also wear shortened cloaks and new helmets with a horsehair crest—possibly the helmets of the Kisir Sharruti (Royal Guard). Behind them are six to seven rows of archers, some without armor and others with long cloaks similar to those worn by their ancestors. Three rows of slingers in armor follow. The firepower of archer units was truly formidable (the Assyrian composite bow could shoot up to 2100 feet). Regardless of formations, the Assyrian infantry excelled at sieges, field attacks, guerrilla warfare, coordination with other infantry units and various types of weapons.

    Persian Infantry

    Ancient Persian infantry and nobleman.
    Ancient Persian infantry and nobleman.

    In 550 BC, the Persian ruler Cyrus II overthrew the last Median king, Astyages, and embarked on campaigns to conquer Babylon and Anatolia. Cyrus’s successors added Egypt, northern India, and parts of southeastern Europe to the Persian Empire. The Persian army at that time relied on conscripts from the provinces and was immense even by standards prevailing 2000 years later. Units were organized into bazarabam (thousands), divided into sataba (hundreds), and then dathabam (tens). The backbone of early Persian armies was infantry, relying heavily on the massive deployment of archers, protected by shield-bearers accompanying them.

    The forefront of infantry formations consisted of sparabara (shield-bearers), where sparabara carried rectangular shields made of reeds covered with leather, reaching from ankles to shoulder height. Each dathabam was deployed in a row of ten men, with shield-bearers standing in front of archers. The leader of the shield-bearers wielded a 6.5-foot-long spear for the defense of the entire section. In case their leader fell, archers had to defend themselves with short, curved, spikeless swords as best as they could. Initially, Persians used simple bows with an effective range of around 500 feet, not yet employing composite bows. Persian archers effectively supported attacking cavalry, but their shots lacked the power to deter determined shock units, as seen in the battles of Marathon and Plataea.

    In hand-to-hand combat against Greeks and Macedonians, Persians faced a disadvantage due to inadequate armor. Consequently, whenever possible, Persians sought to shoot from prepared positions or behind natural obstacles. Besides Persians and Medes, the main part of Persian armies consisted of contingents from subjugated lands. These soldiers utilized their own national weapons, organization, and tactics.

    Over the next 150 years, the Persian army evolved, partially influenced by experiences gained in battles against the Greeks. Between 490 and 479 BC, attempts were made to address the lack of heavy infantry by equipping Kurdish, Mysian, and other mercenaries with shields and spears. Persians also frequently hired Greek mercenaries, especially hoplites. Another unit, the Kardaka, comprised young Persian nobles and, according to Ptolemy, served as heavy infantry.

    -> See Also: Panoply: The Equipment of the Greek Hoplites

    Greek Infantry

    Hoplites and aspis shield.
    Hoplites and aspis shield. (Image: Giuseppe Rava)

    In comparison to the armies of the Middle East, the ancient Greek armies appeared small, technically less advanced, and tactically straightforward. However, the Greeks achieved decisive victories over the Persians at Marathon and Plataea. In 480 BC, a mere 7,000 Spartans and their allies halted at Thermopylae a Persian force at least ten times their size. Greek military culture differed significantly from that of the Near East: Warrior ethics remained strong, and armies relied on aggressive attacks by shock units fighting in phalanxes. Heavy infantry, drawn from private units of wealthy citizens, had a personal stake in the battle’s success and were deeply infused with nationalistic ideology and heroic myths.

    During the Greek Dark Ages, battles resembled uncontrolled brawls. Radical changes began around 700 BC when the phalanx of heavy infantry developed in Corinth, Sparta, and Argos. The political and cultural roots of the phalanx can be traced to the emergence of the polis, dated to around this time. The primary requirement for the polis was the ability to defend itself in times of war. Sparta represented an extreme case, where all men were lifelong soldiers and were not allowed to pursue any occupation other than the military. Even in democratic Athens, all men between 17 and 59 years old had to serve in case of war. Thus, the phalanx was a group of fellow citizens who stood in resistance to an attacker, and their motivation could hardly surpass the motivations of regular conscripts, professional soldiers, or mercenaries.

    Basic Equipment

    The most crucial part of a heavy infantryman’s equipment was the hoplon, or shield, which gave these units their name (hoplites). The hoplon was essentially a shallow dish made of wood, initially only rimmed with bronze, later fully covered in bronze, measuring on average 30–40 inches in diameter. It had a double handle consisting of a leather or metal strap across the center, through which the arm could be passed up to the elbow, and loops made of leather or rope at the edge, held by the hand.

    -> See also: Aspis: The Iconic Shield of the Ancient Greeks

    It could be held at the elbow, with part of the weight resting on the shoulder, making it easier to carry but less flexible than a shield with a single handle. The hoplon was adorned with a symbol—faces of monsters, minotaurs, and other creatures were particularly popular. Still, the Spartans enforced strict uniformity, decorating all their shields with the letter lambda, representing Lakedaimonioi, the ancient name for Spartans.

    Another significant component of heavy infantry equipment was the helmet, and there were several variants. The most common type was the Corinthian helmet, covering the entire head and face, with a T-shaped cutout for the eyes and mouth; later versions also had a nose guard. Hoplites also used body armor. From the 6th century BC, laminated protectors made of many layers of fabric, with a total thickness of up to 2 inches, came into use. These protectors covered the shoulders and torso, and they included a skirt to protect the abdomen and groin, usually divided to allow walking and running. Leg guards, often shaped according to the wearer’s muscles, completed the heavy infantry’s equipment.

    The primary weapon of hoplites was the spear, designed for thrusting and approximately 5 to 8 feet long, with an ash shaft, an iron flat head, and a bronze butt spike. Many swords have been found, but from the 5th century BC, two main types became standard: one was about 24 inches long, with a double-edged leaf-shaped blade for cutting. The second, of Etruscan or Macedonian origin, had an edge on one side and a curved hilt. Swords were used purely as backup weapons; the main weapon of shock troops was always the spear.

    Common Tactics

    The most common tactic of the phalanx was direct advance and contact with the enemy. Thucydides describes the advance of two armies at Mantinea: The opponent advanced wildly and angrily, while the Spartans advanced slowly to the sound of flutes. This custom had nothing to do with religion; the music aimed to maintain a steady pace, preventing their ranks from breaking during the march. Spartans, and later others, marched into battle to the sound of war songs that urged them to emulate their invincible ancestors. According to contemporary testimonies, phalanx battles against phalanxes were a mixture of shield pushing—othismos—and spear thrusting until one side gave way.

    Thucydides, in his description of the Battle of Delium (424 BC), recounts fierce fights on the Theban left wing, where soldiers were stuck together with shields until one of them yielded. Gaps were then created in the Theban lines, into which the Athenians sent their light infantry. Another piece of evidence for the importance of pressure is the increasing depth of the phalanx, which reached fifty ranks with the Thebans at Leuctra. Since their commander, Epaminondas, wanted them to please him and take one more step, it is quite possible that his phalanxes were essentially overwhelming the Spartans. So, even if the phalanx did not crush the enemy at first contact, it could defeat them through gradual weakening, with the most crucial factors being the depth of the formation and the combat determination of those involved.

    Peltasts and Other Light Infantry

    Pelta shield.
    Pelta shield.

    Similar to heavy infantry (hoplites), peltasts also got their name from the shield they used. The pelta was a crescent-shaped wicker shield with a single handle in the center, covered with goat or sheepskin. Although commonly used in the Mycenaean period, the pelta around the 5th century BC became associated with assault units generally referred to as peltasts. However, this name most appropriately applies to mountain tribes from Thrace (currently northeastern Greece and southern Bulgaria), where the pelta shield originated. Thracian tribes fought in wooded mountainous regions, and their tactics relied on sudden attacks, ambushes, and brief skirmishes, making the Thracians the most renowned light infantry of antiquity.

    Thracian peltasts served as conscripts in the Persian army that invaded Greece in 480 BC and as mercenaries in the Greek army from the Peloponnesian Wars onwards. During the Peloponnesian Wars, Greek armies began to use not only shock troops (hoplites) but also assault units (peltasts) and ranged units (archers, slingers). The need to cooperate with and defend against these units of the enemy is reflected in the phalanx tactics.

    The Significance of Light Infantry

    Greek armies started incorporating light infantry into their forces around 490 BC, with Herodotus claiming that the Athenians had 800 archers at Plataea. However, light infantry was not a regular component of any Greek polis. The shortage of light infantry was felt, for example, during the Peloponnesian War by the Athenian commander Demosthenes, who led units of hoplites and a smaller number of archers into the mountains of Aetolia in central Greece. Like the Thracians, the Aetolians inhabited rugged terrain and developed a warfare tactic that perfectly exploited such terrain. Demosthenes’ hoplites were defeated in a manner later called guerrilla warfare:

    They descended from all sides of the mountains, hurling their spears and retreating whenever the Athenian army advanced, only to reappear when it momentarily withdrew. The battle proceeded for a while in this manner, alternating between advancing and retreating. In both cases, the Athenians were at a disadvantage. However, they managed to hold their ground until the arrows of the archers ran out. With the ability to turn the situation using the arrows they had, the lightly armed Aetolians fell easily under the rain of Athenian arrows. However, once the commander of the archers fell, his men scattered. The soldiers, exhausted from constant maneuvering, were caught in riverbeds of dried rivers with no escape or died in other parts of the battlefield when they lost their way. — Thucydides, Athenian historian and general.

    In the years following the Corinthian War from 395–387 BC, light units became an integral part of Greek armies, inspired by the talented military innovator Iphicrates of Athens. In the initial phases of the war, Iphicrates supported the Corinthian side and, utilizing large mercenary forces, including Thracians, organized several incursions into Arcadia in the central part of the Peloponnese. In 390 BC, the Spartan army was destroyed near Corinth. Peltasts continually attacked the Spartans, and whenever the Spartans tried to catch them, the peltasts quickly fled.

    Due to their light equipment, the Spartans were unable to catch them. After the war, the Athenians hired Iphicrates and his peltasts for many clients, including the Persian king Artaxerxes. They fought in the Persian army, suppressing the Egyptian uprising and performed more than adequately. However, there are no records of using this light phalanx in battle. Still, its influence on the Macedonian phalanx cannot be ignored.

    Philip II and the Macedonian Phalanx

    After Philip II became the Macedonian king in 359 BC, he initiated a series of military reforms that transformed poorly disciplined feudal levies into one of the most impressive armies of the classical era. Philip professionalized the Macedonian army by introducing military training even in times of peace, regular, structured pay, and allocating land to veterans after completing military service.

    Units underwent regular training and marches in full equipment to strengthen the physical condition and instinctive discipline of the soldiers. Alongside these fundamental changes, there were several organizational adjustments. One of the most important was the introduction of a new type of phalanx. During the reconstruction of the Macedonian army, Philip was likely inspired by several sources. From 368 to 365 BC, he was held hostage in Thebes and probably learned much about the Greek phalanx there. He also drew inspiration from Iphicrates and his peltasts.

    Philip’s most radical innovation, however, concerned the weaponry. The primary weapon of the Macedonian and Hellenistic phalanx was the sarissa, a two-handed spear carried under the arm, similar to what Iphicrates had introduced. The sarissa adopted by Philip aimed to give his hoplites an advantage in longer reach compared to the spears of Greek armies, and it was also used because a two-handed weapon is more difficult to parry.

    According to Polybius, a Greek historian from the 2nd century BC, the sarissa was 20–23 feet long, with 13 feet protruding in front of the hoplites preparing for impact. The Macedonian phalanx advanced in double strength, creating a dense barrier of spears, behind which marched massive rows of men. Philip also chose a formation based more on quantity than the individual’s skills because most men in the Macedonian army were farmers who couldn’t match the Greek hoplites in battle. The hoplites of the Macedonian army had less armor, making the Macedonian phalanx much more mobile than the Greek one.

    The Macedonian army was formidable and organized, but it also had its weaknesses. For its effectiveness, it was necessary for the men to trust each other because each individual covered his fellow soldier with his shield, and each unit functioned as a unified entity. Therefore, the men forming the phalanx had to maintain closed ranks under all circumstances, which, however, with proper soldier training and discipline, was not a problem in Philip’s army.

    Roman Infantry

    roman pilum spear

    Roman Republic Infantry

    Until the 6th century BC, the inland tribes of Italy were strongly influenced by the Celtic Hallstatt culture from the north more than the Greeks from the south. The influence of Celtic culture is evident in Roman military history. Combat means were closely related to the tribal model, and there is evidence of the existence of an elite order of victors and war priests dedicated to the god of war, Mars, the father of Romulus and Remus, the legendary founders of Rome. The Romans initially fought only with swords; blades up to 28 inches long were found alongside bronze arrowheads. They had helmet types like the calotte, initially shaped like a pot, made of bronze, and worn as hats. Armor primarily protected the chest.

    Around 600 BC, the Romans subdued the Etruscans, a people of unknown origin whose culture was centered in several large cities in northern Italy. Shortly before achieving dominance, they incorporated the phalanx of hoplites into their arsenal and introduced its organization to Rome and other subjugated nations. In the Etruscan-Roman army, all adult male citizens of the state served. The population was divided into voting classes known as centuries, with each class equipping itself at its own expense for war according to its financial capabilities. The Romans expelled the Etruscans at the end of the 6th century BC, but they apparently retained the phalanx of the Greek type.

    However, in many battles with the Gauls and Samnites, its weaknesses were exposed. The Samnites lived in harsh and mountainous terrain, so most of them were armed with spears, shields, and light armor. The Romans learned from these battles and introduced legions. Legions were divided into maniples, each consisting of two centuries. In the legions, there were hastati, principes, and triarii. Hastati were young men armed with spears (later swords), shields, and light armor. Principes were well-armed men in their prime. The Triarii were old veterans armed with spears and strong armor.

    Further Reforms

    The Roman legions underwent additional reforms after facing the fast and agile Carthaginian armies during the Punic Wars. As for the army, it still consisted of a militia composed of citizens of the middle and upper classes. Each man was expected to perform military service for sixteen years, up to the age of 46, to which he annually reported during times of war. However, the nature of Roman military power gradually changed: from 392 BC, soldiers received regular pay, making this army more like a modern professional army than a conscripted force.

    The obligation to perform military service during the long wars in the 4th and 3rd centuries BC led many legionaries to practically become professional soldiers. Legionaries were granted increasingly more exemptions from property contributions, and after the catastrophic defeat at Cannae, farmers and even slaves were enlisted in the army. A legion consisted of 4,200 men, and this number could be expanded to 5,000. The legion was divided into centuries of 80–100 men, and two centuries formed one maniple, the main tactical unit of the Roman army at that time.

    Each man had to protect himself with a scutum (shield), and his armament included two pila (spears). The pila were of two kinds – heavy and light. Some heavy pila were round with a diameter of a palm’s length, while others were square. Each was equipped with a head with backward hooks of the same length as the shaft. The head was firmly attached to the shaft with several rivets, so that in action, the iron cracked before it separated, although at the point of contact with the wood, it was one and a half fingers thick; such great care was taken in its secure attachment. — Polybius


    The Hastati and Principes were primarily armed with the gladius hispaniensis, a sword described by Polybius as excellent, sharp, and strong. The gladius was likely adopted from the Spanish Celtiberian tribes after the Second Punic War. It was forged from iron, with a blade measuring 20 inches in length. Its long point suggests it was used for thrusting, which is more effective than slashing. Roman maniples provided more space than tight Greek phalanxes, resulting in a diverse mix of individual combat in battles. In this way, the Romans often emerged victorious due to the outstanding performance of individually well-trained fencers.

    Roman Empire Infantry

    The first Roman Emperor Augustus, like his great uncle Caesar, recognized that military success greatly contributed to political popularity. Therefore, a cautious expansion policy alternated with the improvement of the empire’s defense. This trend continued until the Germanic leader Arminius destroyed three Roman legions in the Teutoburg Forest in 9 AD. Augustus discouraged his successor Tiberius from aggressive wars, yet further conquests occurred. In 43 AD, Emperor Claudius ordered an invasion of Britain, and between 100 AD and 115 AD, Emperor Trajan conquered Dacia (modern-day Romania) and Mesopotamia. Trajan’s successor Hadrian adopted a passive defensive policy.

    The strategy of the Roman Empire required only a small professional army. In 31 BC, there were 60 legions, but Augustus reduced them to 28 legions composed of long-serving volunteers. The traditional sixteen-year military service from the times of war became the minimum for conscripts. The property ownership requirement was completely abolished, allowing any Roman citizen who passed the selection process to join the army. Each legion was led by a legate (a senator appointed directly by the emperor) and six tribunes. The organization resembled that introduced by Gaius Marius. Therefore, ten cohorts consisted of six centuries of 80 men each, with the first cohort expanding to 800 men with an extra century.

    The equipment of the legionaries underwent limited development. They used the pilum, with a design similar to the Republican era but significantly lighter, until around 200 AD. The sword was shortened, with a blade of approximately 20 inches, indicating a purely thrusting weapon. Legionaries wore mail armor until the end of the 1st century, when it gradually gave way to the distinctly Roman lorica segmentata, armor made of iron strips connected by hooks, straps, or bands. Around the same time, the original oval shield called scutum was replaced by a rectangular shield made of layers of wood covered with leather, with its sides protected by a bronze sheet. Regarding helmets, there was minimal uniformity, with the Gallic helmet being the most commonly used, named so because armorers in Gaul crafted it.

    -> See also: Lorica Hamata: The Roman Chainmail Used For 600 Years

    Auxiliary Forces

    The Roman legions constituted the main striking force of the Roman army, facing the greatest threats. The responsibilities of barracks work and voluntary operations fell on the shoulders of auxiliary forces; these auxilia were comprised of non-Roman citizens and subjects of the Roman Empire. Auxiliary forces further supported legions in larger conflicts. Auxilia consisted of conscripts from tribes, mercenaries, or allies; since the time of Emperor Augustus, there were at least 70 cohorts of auxiliary infantry units composed of long-serving professionals organized similarly to legionary cohorts.

    Each auxiliary cohort was recruited from a specific province of the Roman Empire, and its name indicated the province of origin. However, from the late 1st century AD onwards, cohorts were often assembled elsewhere, and conscriptions from new areas led to great diversity in their ethnic composition. The main incentive for conscripts was the prospect that after completing 25 years of service, Roman citizenship with full rights would be granted to auxiliary forces and their descendants. Cohorts were composed of archers, slingers, or heavy infantry. The equipment of auxiliary forces lagged behind that of legions by at least one generation.

    Tactics of the Roman Empire Army

    During the early Roman Empire, large-field battles were not too frequent. Instead, there were campaigns against insurgents, typically concluded with legionary attacks against their fortifications. Military campaigns became more of a routine logistical and technical matter than a tactical problem. This period is characterized by a doctrine that relied on the formidable power of ranged weaponry. In 68 AD, future Emperor Vespasian besieged the Jewish city of Jotapata (Yodfat), initiating daily attacks with bombardment involving at least 350 missile throwers and 700 archers.

    When his son Titus conquered Jerusalem two years later, he likely had the support of 700 missile throwers. The importance of ranged firepower in field battles continued to grow; against the Alans in 135 AD, Arrianus deployed his two legions behind a wall of overlapping shields, with two rows of archers and missile throwers standing behind the protective barricade formed by the legions, shooting down the Alan cavalry. Under the protection of ranged firepower, legions attacked fortified positions and sometimes used special formations. The most famous of these is the “testudo” (tortoise). This formation reflects the level of training in the Roman Empire army, as its execution required very intensive training.

    The Decline of Roman Infantry

    From the mid-2nd century AD, the primary external threats to Rome were the barbaric Germanic tribes. The decline in the effectiveness of the Roman army was a result of the expansion meant to counter the barbarian threat. Military service became mandatory, a highly unpopular move that contributed to the decline of the army. It was offset by the conscription of barbarians, leading to the barbarization of Roman weapons and tactics. The tactical advantage achieved through professionalism—the excellent equipment and tactics of legions from the time of the Republic and the early Roman Empire—was eventually sacrificed for strategic considerations.

    The main weapons of Roman infantry included the spatha sword, a dagger, a heavy spear called the spiculum, which could be thrown or thrust, and a lighter javelin known as the vericulum. The spatha was a slashing sword with a blade length of 28 inches, likely derived from the Gallic longsword and used by cavalry in the Augustan period.

    Many infantrymen of that time ceased wearing armor, even helmets, which proved to be a significant disadvantage when facing the Goths, who accompanied their raids with a hail of projectiles, and later against the Hunnic mounted archers. The armor consisted almost exclusively of helmets. The helmets bore signs of unskilled mass production, unable to meet the needs of the new conscript army. Ranged firepower was formidable and likely aimed to prevent barbarians from getting within reach, where their size and ferocity could decide the outcome of the battle.

  • Admete: The Princess Who Accompanied Heracles

    Admete: The Princess Who Accompanied Heracles

    Admete (Ancient Greek: Ἀδμήτη) is a character in Greek mythology from the Argive cycle, the daughter of Eurystheus. She is mentioned in sources in connection with the ninth labor of Heracles (Hercules). According to one version of the myth, she was a priestess of Hera on Samos. A princess from Mycenae, Admete was a figure in Greek mythology.

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    From her parents, King Eurystheus and Antimache, she had six siblings: Alexander, Iphimedon, Eurybius, Mentor, Perimedes, and Eurypylus.

    Admete in Mythology

    Admete was the daughter of Eurystheus, who ruled in Argolis, from the lineage of the Perseids, and his wife Antimache. According to Pseudo-Apollodorus, the princess desired to obtain the girdle of the Amazon queen Hippolyta, once belonging to the war god Ares. To achieve this, her father sent the relative Heracles on a mission to retrieve the girdle.

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    Heracles successfully completed the task, thus accomplishing one of his labors.
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    John Tzetzes writes that Admete accompanied Heracles on his quest for the girdle of Hippolyta on the Pontus Euxinus (Black Sea).

    Admete and heracles
    Admete and Heracles. ©Malevus

    The reward for the various labors was to be Princess Admeta herself, as the hero’s bride.

    Admete is also mentioned in “The Banquet of the Learned” by Athenaeus. According to this author, she was forced to flee from Argolis to Samos, where she became a priestess of the goddess Hera. The Argives hired Etruscan pirates to steal a wooden statue of Hera from the Samian temple.

    It was planned that the locals would blame Admete for the disappearance of the statue and kill her. However, the pirates couldn’t sail away with the statue and abandoned it on the shore. Admete, after performing purification rituals, returned the statue to its place.

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    This event is connected by the Samians to the origin of the festival of Tonya, which existed in historical times.

    Hercules, Eurystheus and Erymanthian Boar.
    Heracles, Eurystheus and Erymanthian Boar. (British Museum, CC BY-NC-SA 4.0)

    An ancient vase with a black-figure painting has survived, depicting Admete present at the handover of the Erymanthian boar by Heracles to Eurystheus. According to the authors, another Admeta or Admete was also a nymph, precisely an oceanic one. Admete is also one of the many names given to Athena.

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    When Heracles succeeded, Eurystheus was happy to give the mythical girdle to his daughter, Admete.

    Admete in Astronomy

    Admete means “the unbroken, unwedded, untamed” in Ancient Greek and it is a feminine version of Admetus. Admete is one of the 136 Greek mythological figures behind asteroid names. In honor of Admete, an asteroid (398) Admete was named, discovered in 1894.

  • Anthesteria: Ancient Festival of Dionysus, the Wine God

    Anthesteria: Ancient Festival of Dionysus, the Wine God

    The Anthesteria (ancient Greek Ἀνθεστήρια, translated as “Flower Festival”) was a festival in the Attic festival calendar. It took place over three days, from the 11th to the 13th of the month Anthesterion, which overlapped with the modern months of February and March. Each of the three days had a different significance, with various rites and festival events. They were celebrated in honor of the god Dionysus, like four to five other festivals within and outside Athens. The festival was based on the second silent fermentation of wine. This means that the must from the previous year’s autumn had been transformed into finished wine in the meantime.

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    The name of the festival is derived from the Greek word ἄνθος (anthos), which served as an epithet Ἀνθεύς for Dionysus, the god of spring, and literally referred to simple flowers. This indicates the function of the celebrations as a spring festival to welcome the approaching spring. It is also known as the “older Dionysia.”

    Attributes of the Anthesteria Festival

    The Anthesteria is described as a joyful and exuberant celebration, carrying partly carnival-like features with its processions and costumes. The festival days were accompanied by a fair where various items from the surroundings were offered for sale, such as pottery, especially the pithoi, large painted clay vessels for the festival, young wine, and other export goods. This attracted many merchants and people from neighboring regions. The government gave small gifts to support the festival and officially recognized it. The main location for the festivities was a district on the western slope of the Acropolis, the Limnaion, which was said to be situated in a marshy area.

    According to Thucydides:

    [2.15.4] Proof that things were like this is that the temples of other gods are also located on the Acropolis, and those temples outside the city are rather built towards the southern part, such as the temple of Olympian Zeus, Apollo Pythios, Earth, and Dionysus in Limnae, where the oldest Dionysia are celebrated on the twelfth day of the Anthesterion month, as the Ionians, descendants of the Athenians, still believe. Other ancient temples are also built in the same area.

    How the Anthesteria Festival Proceeded

    Day 1: The Pithoigia—Opening of the Barrels

    The Anthesteria began on the 11th of Anthesterion with the opening of the wine barrels, also known as Pithoigia. Here, the first reversal of normal circumstances became apparent, as all the temples of the gods in Athens were closed and draped with ropes. In contrast, the Dionysus temple, usually closed throughout the year, was only opened on this one day. This day was entirely dedicated to honoring Dionysus, thanking him for the completion of the new wine and, in general, for his role as its bearer. Mythically, special powers were attributed to this wine as it was the new wine.

    In mythology, it was customary to initially consider the new and unknown as potentially dangerous, approaching them with caution and circumspection.

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    The celebrants handled the new wine in the same way. To eliminate the alleged dangers, specific rituals were performed. This included, for example, offering some of the wine to Dionysus at the beginning of the festival. This act sought to secure his favor and people hoped that he would purify the wine and banish its dangers. Participants took their pithoi and drinking vessels to the Limnaion, where they offered the wine. Additionally, they danced and sang in honor of the god. Slaves were also allowed to participate in this ritual. Apart from that, people enjoyed themselves on the accompanying markets, conducted business, and indulged in the new wine purified by Dionysus.

    Day 2: The Choes—Opening of the Jugs

    Man playing an aulos, the instrument that accompanied the dances of the Antesterias. Decoration of a dish from 460 BC, Louvre Museum.
    Man playing an aulos, the instrument that accompanied the dances of the Antesterias. Decoration of a dish from 460 BC, Louvre Museum.

    Another ritual displaying the unusual reversal of circumstances was the Choes. During the Anthesteria, each participant drank from their individual jug (Chous), instead of the usual practice of drawing from a communal mixing jug. Even children were sometimes given their own jugs (Choes cups), often adorned with images of playing and celebrating children. They were also adorned with flower wreaths on their heads, which, in connection with the first gift, could be seen as a kind of confirmation, an initiation rite. Due to high child mortality, it was believed that children were out of the greatest danger from the age of three onwards, and they were thus welcomed into the world of the elders.

    Additionally, there was hope that the natural power of the flower wreaths would transfer to the children, strengthening them for the future. Adults also wore wreaths, which they placed around their jugs on the evening of the festivities and donated to the Dionysian priestess in the sanctuary. The Lenaion (a theater or a section of the Agora) was also entirely decorated with flowers. It is assumed that this function was performed by the Basilinna, who played another significant role in the cultic beliefs during the Anthesteria. The banquet was often accompanied by flute players. Another peculiarity was that everyone silently emptied their drinking bowls. The tradition of individual jugs and silence was based on an old legend about Orestes.

    According to this legend, Orestes’ mother treacherously murdered his father, Agamemnon, leading Orestes, in deep despair, to commit matricide. After this terrible act, he wanted to present himself to the Areopagus in Athens on the day of the Anthesteria. The Areopagus decided to welcome Orestes warmly into the city and allow him to participate in the festivities. However, to avoid exposing the residents to the danger of being tainted by his sin, it was decided that everyone should drink from their own jug, contrary to their usual custom. This prevented transmission while still allowing Orestes to participate.

    Apart from the crowning of young children, there were other blessing rites on the day of Choes. Perhaps the most important was the Hieros Gamos (a divine marriage), involving the Basilinna’s ritual marriage to the god Dionysus. In the early afternoon, the Ship Cart Procession took place. A ship on wheels, steered by a priest, traveled from the harbor into the city and then to the temple. Several rounds were made in the marketplace, with the population following behind and around the cart. Even the smallest children were allowed to participate in this event. Those on the cart mocked the population, and vice versa, creating a lively and wild atmosphere. Leading the procession was the Kanephoros (an honorific office for an unmarried young woman). The mythological significance suggests that Dionysus made his entrance on the cart for his wedding with the Basilinna, symbolizing his journey across the sea before arriving in Attica.

    On the cart, actors portraying Dionysus and his entourage, dressed as gods, satyrs, or maenads, interacted with the crowd. Once the cart reached the temple, the Basilinna had to prepare for the wedding night. In the Dionysus temple, she lit a torch and took an oath affirming her personal purity, chastity, and the fulfillment of her religious duties. Accompanied by the 14 Gerarai (priestesses of Dionysus), under the expert guidance of the Basilinna, they performed various ritual functions at 14 altars in the temple. The title of the women meant “venerable,” expressing respect for their crucial role. They were not viewed as lustful followers of Dionysus but held a high standing in society.

    Following these purification rituals, a wooden stele resembling the god was carried in a solemn procession, considered a wedding procession with the Basilinna, from the temple to the Bucolion. These premises were an old, renovated office of the Archon. The procession was accompanied by a large and exuberant audience, walking alongside the cart. Once the Basilinna arrived at the Bucolion, she was the only one allowed to enter, aside from the god, her bridegroom.

    To be worthy of this task, she, as the wife of the Archon Basileus, had to meet certain requirements, such as not having had another man before him. On the premises, she then conducted the wedding night, which was said to involve secret rituals. The role of Dionysus might have been represented by individuals, with her own husband being the most likely candidate, essentially providing the outer vessel for the god. While intimacy was celebrated inside, the outside population continued to revel through the night. At the first light of day, the stele was brought back to the Dionysus temple, concluding the wedding night and completing the ritual marriage.

    Despite all these festivities and commotion, one must not neglect another crucial aspect of Choes. Towards the evening of the 12th Anthesterion, the transition to Choes began. The entire day was critically viewed by contemporaries, who advised against concluding any business deals and generally regarded it as an unlucky day.


    In the evening, according to the Athenians’ beliefs, the deceased began to emerge to haunt the surface.

    Day 3: The Chytroi—the Day of the Dead

    The final day of the festival stood in complete contrast in its sequence and significance to the first and second days. It was the day of the dead, competitions, and cooking pots.

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    This is derived from the fact that on that day, a panspemie, a pot dish made from grains without sacrificial meat, was prepared and offered. The panspemie was presented as a gift by beautiful women. The women simultaneously prayed for the dead and their ancestors. The sacrifice was not consumed but, along with the components of water, flour, and honey, was offered in a trench half a meter wide near the Temple of Olympian.

    These proceedings were meant to remind people of the chthonic Hermes as a death offering to atone for those flooded during the time of Deucalion (“Deucalion Flood”). The third day of the Anthesteria was considered an eerie time due to its strong connection to the dead, with its negative effects extending even to the entire month. Various defensive measures were taken out of fear of allegedly appearing spirits. Two of them, for example, were to smear doors with pitch and chew hawthorn in the morning, attempting to protect the house and bodily openings from invading souls.

    Simultaneously, in honor and appreciation of the dead, mimetic dances, musicals, and rhetorical performances were presented. However, no play considered a sign or characteristic of Dionysus was staged. Various athletic competitions were organized but were regarded as funeral games. Temples were also sealed to keep out uninvited guests, such as ghosts. Particularly interesting was that the time of Chytroi coincided with another festival, the Aiora Swing Festival, mainly celebrated by children and teenagers.

    They were supposed to swing long and intensively to cleanse themselves and gain blessings. This was to happen by hurling away misfortune through vigorous movement. The festival served as an expiatory celebration for the deceased Erigone (daughter of Icarius), a rite to honor the dead, to appease them, and thus to gain happiness in the new year. After the end of the last day, various chants were uttered to drive the spirits out of the houses.

    Interpretations of the Anthesteria Festival

    Connected to Dionysus, the Anthesteria is also called the Short Dionysia, and Thucydides mentions them as the “older Dionysia.”

    The interpretation of Anthesteria as the “festival of flowers” dates back to antiquity, although flowers played a very limited role in this festival, only on its first day. In the time of the Cambridge ritualists, A. W. Verrall interpreted the name of this festival as a “calling back” or “re-calling” (from ἀναθέσσασθαι, “to pray back” or “up”), where the spirits of the deceased were called back into the world of the living (which might be compared to the Roman ritual of opening mundus).

    His contemporary, Jane Ellen Harrison, viewed Anthesteria primarily in the context of the festival of “all saints,” whose purpose was to appease ancestral spirits.

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    Harrison considered the “opening of the jars” (Pithoigia) as a ceremony of opening tombs (πίθος would in this case denote a large urn in which the ashes of the deceased were placed), the “festival of wine jugs” (Choës) as a day for liquid offerings – libations (χοαί), and the “festival of pots” (Chytroi) as the day of grave vats (χύτροι), which actually preceded the day for opening the jars.

    Later researchers, such as Eleanor Rohde and Martin P. Nilsson, believed that χύτροι meant “water vessels” and connected this festival with the Hydrophoria (“water-carrying”) ceremony, a libation festival organized to appease the dead who disappeared in the Deucalion Flood. Henri Jeanmaire agrees that it is precisely the festival of the dead that sets the tone for the entire festival.

    Jean Haudry introduces the concept of darkness into the notion of anthos and interprets the name Anthesteria as the “festival of those who have passed through the darkness (winter).” The arrival of Dionysus at the water symbolizes the “passing of winter darkness” and the end of winter.

    Both in the festival of the dead and in the festival of wine, Anthesteria, held at the end of winter, corresponds to the Athenian Oschophoria festival rites, held in the fall, where cooked seeds were offered as a sacrifice, revealing a kind of rhythm in the observance of rural festivals tied to the seasons.

  • Koliada: Slavic Winter Solstice Celebration

    Koliada: Slavic Winter Solstice Celebration

    The folk-Christian Slavic festival of Koliada is held on the night of December 24th–25th to mark the start of the new year. This festival has its roots in a pagan Slavic celebration of the sun and the arrival of spring. However, the celebration of Christmas on this particular day brought more attention to the person of Jesus Christ and the celebrations, as shown in the Belarusian “Kałyady” and the Lithuanian “Kalėdos”—Christmas.

    A shared family meal with fortune-telling was an integral part of the Koliada celebration, as was tending to the home and paying respects to ancestors. After this, members of the family would get presents and go caroling while performing ceremonial scenes. Today, most people associate Koliada with Christmas Eve, when the family gathers for a big meal. Carols eventually became a part of Christmas customs rather than the Koliada celebration.

    Celebration of Koliada

    Koliada celebration
    Pola Lilla, cc by sa 4.0.

    With the arrival of a new year, the Kolyada celebration signifies the rebirth of the universe. As a result, it is accompanied by a plethora of ceremonies meant to cleanse, usher in the new, bring good fortune, and ward off evil. When observed on December 24–25 (in the old form) or January 6-7 (in the Orthodox style), Kolyada is associated with the evening and night before Christmas. House cleaning, wall and partition renewal with white and colored clay, family clothing stitching, and utensil shopping were all rituals that Ukrainians would do before celebrating Kolyada. Even practical goods like “makitra” (a small clay mixing bowl) and “makohin” had to be new. For this festival, supplies of firewood, honey, bread, hay, canvas, and other items had to be made ready in advance.

    Using fresh or clean towels and herbs to decorate icons before Christmas is a Christian custom. The practice of decorating walls with floral designs and other symbols continued until the 18th century and found its way into the creation of pysanky, or Easter eggs. Chimneys were adorned with paper figures throughout the 19th century. Those who kept beehives for the purpose of making candles used wax two or three days prior to Christmas. Three “Trinity” candles were produced in the Poltava area, but in other locations, they were manufactured in the days leading up to the Savior’s Feast. Candles in ancient times were solemn means of lighting, and houses were usually lit with “kagantsi” or “skalky” — thin wooden splints. Roles for future caroling were also determined, and girls made wreaths from ivy (as it is evergreen).

    The fire for cooking dishes on Kolyada was originally obtained by rubbing one piece of wood against another—the so-called “living fire.” The ritual of obtaining it existed among the Hutsuls in the 19th century. On this evening, livestock had to be fed and combed, and a jug with “holy” items, such as charcoal and holy water, was left in the barn. The final preparation before the feast was the scattering by the host around the house, outside, and in the barn of poppy seeds to ward off evil forces, take care of the livestock, and spread hay on the floor.

    Didukh

    The main pagan rituals on the eve of Christmas for Ukrainians include bringing a decorated sheaf called Didukh into the house, usually done by the head of the household and his son, along with a shared family dinner known as “Holy Supper.” Didukh, placed in the corner of the room, symbolizes the ancestral protectors of the family known as “dids.” According to beliefs, they visit the living members of the family from December 24 to January 1 each evening, during which no other work should be done except caring for the livestock. The Hutsuls considered the presence of spirits so close that they even blew on the benches before sitting to avoid occupying a spot where someone’s soul might reside.

    Koliada Dinner

    For the dinner, 12 meatless dishes are prepared (in some regions of Ukraine, 17) representing the months, with the main dish being “rich kutia.” The composition of kutia was meant to showcase the wealth of the household and serve as a sacrifice to the god Veles, hoping for a bountiful harvest in the coming year. Different regions had their own traditional order of serving dishes, each with its own symbolism; for example, honey symbolizes life and poppy seeds represent sleep and death.

    Kutia, set aside for the ancestral spirits, was designated to seek their assistance in the upcoming year. The table for the Christmas Eve supper was covered with two tablecloths: the lower one for the ancestors and the upper one for the living. A lit candle was placed in the center of the table on a pole or a thick cake. Right before the feast, the head of the household would recite incantations, varying by region. These incantations could be for inviting the spirits of ancestors, the Sun, the Moon, and the Stars, and warding off evil forces and frost. Traditionally, the dinner took place on communal dishes, and two empty plates were left for the deceased and absent family members.

    Celebrations could be accompanied by magical actions aimed at bringing prosperity to the house and preventing misfortunes in the following year: scattering hay, making holes in the benches, imitating the sounds of livestock, domestic birds, and bees, and tossing children in hay. Part of the kutia was given to domestic birds and livestock. Kutia could be used for divination, attempting to predict the prosperity of the household based on its composition. In Poltava, children divined by pulling out random items hidden under the tablecloths, such as a flower or an ear of wheat. The host and hostess could also engage in divination. It was a known custom on the eve of Christmas to invite lonely, homeless individuals for supper.

    Caroling During Koliada

    After the feast, on what is called “Holy Night,” spirits from both the realms of good and evil mingle with humans. The following day, the custom of caroling begins, with the youngest children singing carols to their immediate families before the older kids go to the homes of complete strangers. In this case, an exception was allowed for a group of youngsters called “polarizers,” who were expected to reflect good spirits by caroling till daylight. The host has an obligation to greet the carolers and give them presents. Both youngsters and adults are familiar with a variety of carols. Carols sung by females receive extra care. Pastures (cows) in Polissia have their own set of songs.

    The night following the supper, known as “Holy Night,” is when both good and evil spirits roam among people. The next day, caroling begins, starting with the youngest children singing carols to their relatives and then the older ones going to the homes of strangers. An exception was made for boys known as “polarizers,” who caroled until sunrise and represented good spirits. It is the host’s duty to welcome carolers and reward them with gifts. Various types of carols are known to both children and adults. Special attention is given to girls’ carols. In Polissia (a region Eastern Europe), there are carols specifically for livestock (oxen).

    Younger children traditionally perform well-wishing carols, conveying wishes for prosperity and announcing the news of Christmas. In return, they traditionally received kutia, bagels, apples, nuts, and a small coin. The introduction of Christianity made attending church on the first day of Christmas an important part of the celebration. The service lasted from the 12th night to 4 in the morning, or even longer, and until the 19th century, it included singing pre-Christian carols.

    A Russian postcard before 1917 displaying a Koliada custom.
    A Russian postcard before 1917 displaying a Koliada custom.

    Following a group prayer and breakfast, family members who attended the service welcomed those who stayed at home. Until evening, a peaceful atmosphere prevailed, except for young couples visiting their parents and grandparents. In the evening, the youth started caroling, which continued for 2–3 days. Boys and men caroled for everyone, while girls caroled for other girls and young children. Adult carolers enacted scenes (vertep) that reproduced fertility rituals involving “goat driving” (which is a Christmas tradition of bringing a real goat or a person with a goat mask to houses for treats) as well as scenes related to the episodes of Christ’s birth.

    These performances often included references to current events and politics. Among them were biblical characters (Three Kings, King Herod), folklore figures (Death, Devil), and socio-political figures (Gypsy, Butcher, Soldier, Cossack). Vertep performances are known from the 17th and 18th centuries. In Galicia, Volhynia, and some areas of southern Ukraine, they continued until the arrival of the Bolsheviks and were revived after independence.

    History of Koliada

    In modern-day Ukraine, Kolyada is most often linked with Christmas carols performed throughout the holiday. The Hutsul area (which includes Transcarpathia, Bukovyna, and Galicia) is home to the oldest and most beautifully preserved carols. The religion of the ancestors and the reverence of the newborn sun are two aspects of the celebrations that have endured through the ages, bearing many similarities to their pagan predecessors. Up until the Epiphany on January 19, contemporary caroling was the norm in the majority of Ukraine. But up until around the middle of the past century, carolers in the Kyiv area would visit each home until the feast of the Presentation of the Lord on February 15.

    According to folklore research, many Indo-European peoples’ familiarity with the ancient practice of caroling was really a ceremony honoring ancestor spirits known as “Didi.” Various underworld creatures, including pagan gods, spirits that influence or even govern natural occurrences, and human life and death, were said to reside among the “Didi,” who acted as intermediaries between this world and the hereafter.

    Accordingly, consulting the spirits of long-dead ancestors was an integral part of every significant ceremony and event in the lives of traditional communities. For a short period of time each year, the “Didi” would make a triumphant return to Earth. This took place at a holy and enigmatic time, just as the solar year was coming to a close and the new one was starting.

    Just as the story goes, at the crossroads of time, the “Didi” would visit their living relatives in an effort to bestow blessings and riches onto each household, ensuring that the ensuing year would be fruitful for the common people. It seems that ancient priests and magicians who practiced pagan cults—figures from the “other” world—performed the rite of visiting yards. The “Didi,” as ancient people understood them, were invariably distant old men. Because of this, male-only and bachelor communities started to practice circumferential rites, and the “Bereza” of Ukraine, who was once the main priest, became the new head of the community’s caroling.

    In certain parts of the Carpathian Mountains, the practice of male-only caroling is still practiced today, while in others, it takes the form of the “Koza” procession. Carolers’ relationship to the “Didi” spirits necessitated certain outward manifestations, such as a white mask covering their faces, a long beard, and a staff. The “Didi” mirrored the concept of the “other world” in both their attire and their actions.

    Carolers wore discarded clothing as a result. “Didi” acted in a very strange and often disgusting way: they would make a racket, steal or smash everything in the house, flip everything upside down, remove and relocate the homeowner’s fence or gates to the next street, and so on. Indeed, the ancestors’ beliefs dictated that the “other world” and its inhabitants had to be diametrically opposed to the living world. Simultaneously, the welfare of the living was dependent on these spirits’ existence. Carolers recited religious canonical passages to a specific tune that played just during this time segment and was never repeated throughout the year. This idea explained their unusually respectful approach to their behavior and appearance.

    Old rites were further integrated into the Christian tradition’s traditional celebration of Jesus’ birth as the faith spread. As a result, several Ukrainian carols have scenes where Jesus assists a farmer in plowing his field and where the apostles Peter and Paul lead his herds of cattle and Mary brings lunch, called the “nativity scene.” The majority of Ukrainian regions now include women or girls in their Christmas-New Year yard rounds, reflecting a change in ceremonial emphasis. Also gone are the days of using attributions and ancient ceremonial masks, both of which were rendered meaningless.

    Some New Year’s rites (“Goat,” “Malanka”) have evolved from their reliance on archaic representations of “Grandfathers” to more modern and relatable ones. Masks like “Gypsy,” “Soldier,” and “Devil” are part of the Christmas nativity scene today, which is centered on Christian morals and teachings instead of Koliada. It often alludes to both political and religious conspiracies and satirizes them. This practice, which had been dormant due to Soviet influence, flourished after Ukraine gained its independence. For example, in nativity scenes, “devil” was replaced by hooligans, and allegorical images related to current events appeared. The puppet-nativity scene was revived.

    The Origins of Koliada

    There is a major theory that states the word “koliada” came from Latin; the Proto-Slavic *kolęda is a derivative of Latin Calendae, meaning “calends”; and another version suggests that Greek κάλαvδαι, meaning “calendar,” may have had an intermediate impact. People would sing special songs (caroling) to commemorate the New Year’s “calends” in a highly ceremonial way. This practice persisted even after the birth of Christ, prompting the church to merge the Christmas celebration with the older New Year’s Day. Eventually, Christmas songs replaced those from New Year’s Day. Just as the Romans disseminated their Calendae over Europe, all Slavic names of Koliada have their roots in Greek κάλανδαι.

    All Romance, Germanic, and Slavic peoples adopted the name “kalenda” or “calends” for the Christmas season when it was borrowed from ancient Greco-Roman pagan ceremonies. Fortune-telling, greetings, dressing up, and tributes in Christmas can only be understood in light of their pagan Koliada roots, and Christian prayers’ plots found their way into pagan carols meant to welcome the pagan New Year. The two celebrations coexisted and mutually influenced each other.

    Persian Roots

    Ukrainian folklorist Xenophon Sosenko states that the term “koliada” is said to have originated in Iran and meant either “ready sun” or “sun is here”; the Koliada festival was a time when sacrifices were offered to the Sun god. Tehran has had an impact on Ukraine, according to Professor Yevhen Onatsky’s “Small Ukrainian Encyclopedia.”

    Slavic Roots

    A few unproven theories place the term’s origin squarely in Slavic languages, arguing that it has a phonetic sound with the word “koliada.” These theories, which may be categorized as “pseudoscientific”, are not covered in the Encyclopedic Dictionary of the Ukrainian Language (ESUM):

    1. Ukrainian folklorist Matviy Nomys suggested that “koliada” originated from “kolivo” and referred to the process of consuming this food;
    2. Dmytro Shchepkin derived it from “kol” + “eda,” meaning “food in a circle” or “circle food”;
    3. P. Bezonsov – from “koloda” (supposedly denoting a burning log around which ancient ancestors sat and performed ritual ceremonies);
    4. Mykola Kostomarov – from the word “koleso” (wheel), which symbolized the sun, the god of warmth.

    Alternative Hypotheses

    Professor Stepan Kylymnyk believed that “korochun” (one of the Russian words for Koliada), which means “a holiday of the day that gradually increases while the night decreases,” was the actual source of the term “koliada.” But it’s hard to say for sure where the term “korochun” came from. In his view, the cycle of winter in Ukraine follows a pattern comparable to the cycle of winter holidays in ancient Greece and Rome. To be more precise, these are the “Brumalia” holidays, which take place from November 24th to December 17th in remembrance of Dionysus; “Saturnalia” from December 17th to 24th; and “Voti” from December 24th to January 1st, which corresponds to Koliada and associated celebrations.

    Because of the widespread embrace of Christianity, all of the ancient names of holidays—with the exception of Kalita and Korochun—were changed to Christian equivalents. The Christian Church in Russia and Ukraine resisted the influence of pagan customs by giving old names new meanings. The so-called “kalends” have survived the longest in Europe (which was originally the first day of every month in the Roman calendar).

    According to the Ukrainian linguist J.B. Rudnyckyj’s dialectological field recordings and notes, 1934–1970 (Arch.133), these winter celebrations may have originated in Asia and made their way to Europe via Greece and Rome. In this place, they picked on European distinctiveness, substance, and philosophy; the holidays of each country took on the personality, outlook, and worldview of that country.


    Featured Image: Ivano-Frankivsk Regional State Administration, cc by sa 4.0, cropped.

  • Nativity Play: Origin and Examples Around the World

    Nativity Play: Origin and Examples Around the World

    The birth of Jesus Christ is told in a Nativity Play, which is sometimes called a Christmas pageant. During the Christmas season, youngsters usually perform it, and animals and props are sometimes part of the drama, along with human and heavenly characters. The play draws on biblical events as a basis, but it is also free to include apocryphal stories, regional elements, and customs. The Nativity Play is a common practice in Sunday schools and elementary schools with a strong Christian focus.

    What is a Nativity Play?

    The Nativity Play is a Christian folk custom associated with Christmas. It is a multi-character dramatic play and the most popular Christmas peasant mystery play, also known as a shepherd’s play. The characters include not only the baby Jesus but also witnesses to the birth of Jesus: Mary, Joseph, the Three Wise Men, an angel, shepherds, an ox, a donkey, and a lamb. In this folk custom, two traditions blend: pre-Christian pagan and ancient beliefs, as well as customs stemming from the Christian nature of the celebration. Its name in countries like Hungary originates from the biblical city of Bethlehem. The purpose of this folk custom is to drive away evil spirits with noise by wearing costumes and masks.

    Originally practiced in what is now Italy, the practice of staging real nativity scenes eventually spread to other Christian nations. Not only does the Catholic Church uphold this practice, but so do other Christian faiths like the Baptists. Nearly two hundred venues throughout Italy hosted Nativity Plays at the turn of the millennium.

    A Nativity Play in Porto Alegre, Brazil.
    A Nativity Play in Porto Alegre, Brazil. (tetraktys, cc by sa 3.0, cropped)

    The Beginnings of the Nativity Plays

    The Nativity Play or Christmas pageant developed into a spiritual theater that laypeople performed throughout the Middle Ages, with its roots in liturgical Christmas festivities. The nativity scene with the holy family and the infant Jesus Christ was staged at the altar as early as the tenth century.

    There was also a dramatization of the shepherds’ news of Christ’s birth (the Shepherds’ play) and the three wise men’s devotion to the newborn (the Three Kings’ play). The Magi Play in Freising, Germany, was one of the first Three Kings’ plays that has been preserved textually. It depicted the events leading up to the Nativity of Christ in one hundred Latin lines, including the escape to Egypt. Around the year 1080, Freising Cathedral probably staged its first performance without scenic representation.

    From these roots, Nativity plays emerged in the 12th century. From the 13th century, the Nativity Play from Benediktbeuern (Germany) in Latin (Ludus scenicus de nativitate Domini) is preserved as part of the Carmina Burana manuscript, which also contains a Passion play. The Nativity Play differs from the Nativity Play mainly because it includes additional scenes from the Bible, such as the expulsion of Adam and Eve from paradise, a prophetic play, and the events from the Annunciation to the Flight to Egypt. Stube plays, which meant “nativity plays” performed in a living room or guest room without a dedicated stage, were also common in Styria and Carinthia in Austria.

    According to tradition, both the Nativity play and the Christ Child cradle of the Dominican nuns, as well as the Christmas crib, trace back to the year 1223. Allegedly, at that time, Francis of Assisi staged the Nativity scene in the forest of Greccio with live animals and people, anticipating the Feast of the Epiphany. Since then, the Franciscans have promoted this form of representation, which persisted even after the Reformation.

    Instances of Nativity Play Around the World

    The practice is more recent in certain areas; for instance, the Nativity Play has only been put up since 2009 at Sassi di Matera, the oldest section of Matera (Basilicata), which is a UNESCO World Heritage Site. Approximately 300 people from the Italian town of Genga in the province of Ancona take part in the Presepe di Genga, the biggest Nativity Play on Earth. It takes place every year in the caverns and their surroundings on the slopes of Mount Frasassi. The Slovenian Postojna Cave hosts similarly ornate Nativity Plays underground.

    Other European nations, including Germany, France, and Spain, as well as Central European nations like Poland and the Czech Republic, also have Nativity Plays. Stará Plzeň and several other towns and cities in the Czech Republic have Nativity Plays. Countries in Central and South America, as well as a few US states, have adopted this practice. As an example, Nativity Plays have been created by the Baptist Church in Lafayette, Indiana, as well as other places in Texas and Arkansas. On thirteen indoor and outdoor stages in Mount Laurel, New Jersey, nearly two hundred artists play each December for an audience of over thirteen thousand.

    In Germany, Austria and Switzerland

    1. Meyer’s Nativity Play depicts the Christmas tale (a mash-up of the Three Kings, Messenger, Herod, and Shepherd plays) all the way up to the beginning of the worship at the crib. It is a lengthy Latin fragment with instructions from the 12th century.
    2. Among Austria’s many traditional Nativity Plays, a famous one is performed in Ischl. Although transcription has been around since the 11th century, the first recorded example is from 1654. The Parish Church of “Bad Ischl” still hosts the performance every four years.
    3. The late Middle Ages were also the birthplace of the Hofer Christmas drama. The cantor and the St. Lorenz parish school choir took care of the music. The St. Michael’s Church Hofer Latin School carried on the tradition even after the Reformation. Ludger Stühlmeyer’s Nativity Play children’s cantata continued the tradition at St. Marien’s City Church.
    4. Since the 1920s, the Lübeck Katharineum has hosted a Nativity Play in Low German during Advent every year at the Aegidienkirche in Lübeck.
    5. Waldorf schools are known for their renowned Oberufer Nativity Play.
    6. At the Christmas market in Andernach, performers bring the Nativity scene to life. On display in the marketplace is a cradle that represents the events surrounding the birth of Christ. The scene unfolds in a pastoral setting, complete with oxen, donkeys, sheep, shepherds, the three wise men, Mary, Joseph, the angel, and the Christ child. On weekends, there are two performances every day.
    7. Beginning with the 2013 Swiss Huttwil Christmas market, Roland Zoss has been performing the contemporary Chinder Wiehnacht in the Alemannic dialect in several churches.

    A Nativity Play Ban in Germany

    When the city government of Worms in Germany forbade the Evangelical Lutheran community from performing a Nativity Play in the Christmas market in the lead-up to the 2014 holiday season, the incident garnered national attention. The Mainz Administrative Court upheld this restriction on the grounds that the Nativity performance would interfere with other people’s freedom to freely attend the Christmas market. The congregation’s goal in staging the Nativity Play was to bring focus to the situation of refugees. The municipal administration’s decision to ban the Nativity performance was met with severe criticism from the evangelical deanery, Worms-Wonnegau. According to Dean Harald Storch, panic and escape are fundamental elements of the Christmas narrative.

    Nativity Plays in Hungary

    A unique variation of the nativity scene is the puppet dance nativity scene. It occurs in the Hungarian language area in the Transdanubia and Upper Tisza regions.

    Characters: Angel in a white woolen shirt, with a towerless and open-sided puppet dance nativity scene (see the first picture on the first board); first, second, and third shepherds in turned-out sheepskins with sticks; Old Man – similarly, with a long hemp beard and a cauldron. Names of puppets: bride, deaconess with a bell-shaped alms box, two shepherds, friend, chimney sweep, and devil. In the illuminated nativity scene, there is a crib with baby Jesus, Joseph, Mary, animals, and on the wall, holy images can be seen.

    – Hungarian Folklore Collection Volume VIII: Transdanubian Collection: Nativity Plays and Christmas Carols, 2–81
  • Christmas Peace: The Finnish Tradition of Christmas Announcement

    Christmas Peace: The Finnish Tradition of Christmas Announcement

    Christmas Peace is a traditional Finnish ceremony that officially signals the start of the Christmas season. It is also known as joulurauha in Swedish and julfrid in Finnish. This tradition is based on the ancient Swedish law that Birger Jarl instituted in the thirteenth century, which in turn is based on the Truce of God. It is a big aspect of Finnish Christmas customs, and the proclamation encourages mutual regard and tranquility. Even though Finland was a part of Sweden until 1809, the practice has managed to endure there. On Christmas Eve, the proclamation is made in a number of Finnish cities, the earliest of which is at noon at Turku’s Old Great Square.

    The tradition of Christmas peace is an old Nordic mandate that lasted for a period of 20 days during the Christmas season, as stipulated in ancient legislation. In medieval Sweden, Christmas peace was a royal peace through which the ruler exercised jurisdiction over kinship communities. Other similar laws include, for example, court peace and women’s peace. Penalties for offenses during Christmas peace were harsher than at other times.

    -> See also: Christmas in Finland

    Christmas Peace in Finland

    People are waiting for the declaration of Christmas Peace at Turku Old Great Square.
    People are waiting for the declaration of Christmas Peace at Turku Old Great Square.

    Due to the potential for disturbances brought about by holiday leisure time, Christmas peace was necessary. In Christian countries, it was often desired to cease hostilities on Christmas Eve. In many cities, it became customary for a city official to publicly declare Christmas peace on Christmas Eve. In Finland, since 1889, Christmas peace no longer holds legal significance.

    In Sweden and its part of Finland, Christmas peace was legally in effect for 20 days, starting on Christmas Eve and ending on St. Knut’s Day. Currently, Christmas peace is declared annually, not only in Turku but also in places like Naantali, Pori, Porvoo, Rauma, Tampere, Hämeenlinna, Tornio, and Uusikaupunki. Since the 1960s, the tradition has been revived in some other locations as well.

    Turku Christmas Peace Proclamation

    The balcony where the Christmas peace is announced in Turku
    The balcony where the Christmas peace is announced in Turku. (Magnus Franklin, cc by sa 2.0)

    The tradition of declaring Christmas peace continues primarily in Turku, where it has been observed since the 1300s. It was skipped during the Great Northern War in the 1700s, possibly during the years 1809–1815, during the Finnish Civil War in 1917, and due to the fear of air raids during the Winter War in 1939. The current wording of the declaration, read from the balcony of Brinkkala House, dates back to 1886, and its present form is from 1903. The proclamation is a recollection by the city magistrate’s secretary after the Turku fire in 1827.

    The expression “Suomen Turku” has been in use since the 12th and 13th centuries. The name Turku is likely derived from the Old Russian word tǔrgǔ, meaning marketplace. “Suomen Turku” has been, from the Swedish perspective, a marketplace located specifically in the historical Finnish province of Varsinais-Suomi (Finland Proper), distinguishing it from the Russian marketplaces or “turguista” and serving as the administrative center of the region. According to current understanding, the word “turku” was brought to the Fennoscandian region by Novgorod merchants.

    Although the declaration of Christmas peace still threatens punishments more severe than usual for crimes and offenses committed during the peace, Christmas peace has had no legal significance since 1889.

    The declaration is read on the Old Great Square from the balcony of Brinkkala House at noon. The event begins with the hymn “Jumala ompi linnamme” (God is our fortress), after which the clock of Turku Cathedral strikes 12. The band plays the introductory fanfare “Marsalkan hopeatorvet” composed by Artturi Rope, and the reader of the declaration steps onto the balcony. After hearing the announcement text, the Finnish national anthem “Maamme-laulu” is sung, and finally, the band plays the “Porilaisten marssi” (March of the Pori Regiment).

    The musical accompaniment for the declaration is provided by the Navy Band and choirs, including the Male Choir Laulun Ystävät and the Male Choir Naskalit of the Turku YMCA. The declaration was read for a long time by the city’s chief administrative officer. From 1985 to 2002, Paavo Heinonen, the chief administrative officer, proclaimed the Christmas peace. After his retirement, from 2003 to 2012, Jouko K. Lehmusto, initially the chief administrative officer and later the deputy mayor for the last two Christmases, succeeded him. The position of chief administrative officer was abolished in 2010. Since 2013, the Christmas peace has been proclaimed by the city’s protocol chief, Mika Akkanen.

    The Christmas peace was last left unproclaimed during the Winter War in 1939. At that time, military authorities had banned all mass gatherings in population centers due to the risk of air raids. Usually, when the declaration is read, there is a large audience, up to 10,000 people. However, in 2020 and 2021, the area was completely closed to the public during the event due to the COVID-19 pandemic, but the proclamation was broadcast on radio and television as usual. Since the 2010s, as a precautionary measure, the surroundings of the Old Great Square have been habitually closed off with trucks. This action was influenced by terrorist attacks in Europe, where perpetrators had driven vehicles into large crowds. In a terrorist attack on the Berlin Christmas market in Germany on December 19, 2016, 12 people were killed using this method.

    The singing of Martin Luther’s hymn “Jumala ompi linnamme” (God is our fortress) became a tradition in 1903. The Christmas peace proclamation from Turku has been broadcast on the radio from 1935 to 1938, 1940 to 1942, and since 1944, and televised in 1962 and since 1983. The familiar phrase from the radio, “Suomen Turku julistaa joulurauhan” (Finland’s Turku proclaims Christmas peace), has been in use since 1940. In 1943, the proclamation was broadcast from Rauma. In Sweden, the proclamation has been visible on the television channel Sveriges Television since 1986. On Yle Areena, the proclamation has been globally available for listening and/or viewing since 2006.

    The following is the wording of the Christmas Peace proclamation (originally in Finnish):

    Tomorrow, God willing,
    is the gracious celebration of the birth of our Lord and Savior;
    and thus, a general Christmas Peace is hereby declared, urging everyone to observe this festival with appropriate devotion and to conduct themselves quietly and peacefully,
    for anyone who violates this peace and disrupts the Christmas celebration with illegal or inappropriate behavior is, under aggravating circumstances, liable to the punishment prescribed by the laws and regulations for each offense.
    Finally, joyful Christmas festivities are wished to all residents of the city.

    Pori

    In Pori, the declaration of Christmas peace has been a tradition since the 18th century. The old custom was revived in 1960, and nowadays, the declaration of Christmas peace is made by the mayor in front of the Pori Town Hall. According to ancient tradition, the text of the declaration is said to have been written by Professor Unto Salo.

    Porvoo

    In Porvoo, the declaration of Christmas peace takes place annually on Christmas Eve at 4 p.m. from the town hall. Since 1950, the declaration has used a text borrowed from Turku. In addition to reading the declaration text, the program includes a band and a choir.

    Porvoo’s own historical declaration text was confirmed in the Porvoo District Court in 1663, but the tradition faded in the 19th century. The Porvoo Museum Association revived the tradition in 1900.

    Rauma

    Also in Rauma, Christmas peace is declared annually on Christmas Eve at noon in the city market square. This tradition has been observed for over 300 years and is estimated to have been in Finnish for the first time in 1676. The current text of the declaration dates back to 1919. The Finnish Broadcasting Company (Yle) broadcasted the Christmas peace declaration from Rauma on the radio in 1943.

    The following is the Christmas Peace declaration (originally in Finnish):

    As we once again celebrate the precious birth of our Savior, the City Council hereby declares that the Christmas Peace has begun and extends warm wishes to all residents of the city for a joyful and peaceful Christmas, followed by a happy New Year. With the hope that both in words and deeds, the first and greatest Christmas greeting would come to fruition. Glory be to God in the highest, peace on earth, and goodwill to all people. May God protect our homeland.

    Hämeenlinna

    In Hämeenlinna, the Christmas peace is declared according to the proclamation given at the Town Hall in 1766. The proclamation is delivered by the Deputy Mayor. Since 2014, the Christmas peace has been declared at the Goodman shopping center. Before that, the event was usually held either at Hämeenlinna Market Square or on the pedestrian street Reska.

    Naantali

    In Naantali, the Christmas peace has been declared at least since the 1940s, probably by the magistrate before that. The proclamation is delivered by the city clerk, who is currently the administrative director. The Christmas peace is declared from the steps of Humpin talo on Mannerheiminkatu on Christmas Eve at noon. The ceremony includes a brass band and trumpet fanfare.

    Uusikaupunki

    In Uusikaupunki, the Christmas peace is declared on Christmas Eve at noon from the steps of the New Church, using the wording of the Turku proclamation.

    Vantaa

    In Vantaa, the Christmas peace has been declared since 2002 in front of the Vantaa City Hall on Christmas Eve at 1 p.m. The event is organized in collaboration between the City of Vantaa and the Vantaa parishes. The program typically includes a greeting from the parish, followed by the declaration of the Christmas peace. The event also features musical performances. In 2017, the Christmas peace was declared by the Chairman of the City Council, and in 2018 by the Chairman of the City Council.

  • Christmas in Nazi Germany

    Christmas in Nazi Germany

    The Nazi Christmas cult aimed to transpose Nazi ideology onto German Christmas traditions. Nazi propaganda sought to diminish the influence of Christian beliefs on the national community. According to psychologist Wilfried Daim, Adolf Hitler was to assume the role of the Messiah and World Redeemer instead of Jesus Christ. The Nazi Christmas cult combined patriotic, “youthful,” and folkloric Christmas mysticism, supposedly borrowed symbolism from Germanic mythology, and exaggerated glorification of mothers and heroes.

    The Germanized interpretation of Christmas was particularly of interest to Germanophile circles within the SS, the Rosenberg Office, and Folklore. Before the war, the Propaganda Ministry influenced the Christmas festival through the Winter Relief of the German People. It was presented to the population as a “festival of the entire people… transcending classes, ranks, and confessions.” During World War II, the Nazi leadership appropriated Christmas for war propaganda. The dispatch of field post parcels, the production and broadcast of so-called Christmas ring broadcasts on the radio, and the framing of Christmas as a festival of hero and dead worship were integral parts of those years. Despite all efforts, in large parts of the population, the traditional Christian Christmas festival could not be displaced.

    The Meaning of Christmas in National Socialism

    The worship of the sun and the returning light in the late month of December has roots in traditions from prehistoric times. Seasonal turning points (solstice) were reflected in rituals and mythology. The sun had essential significance for earthly survival. The summer solstice carried an aspect of death and transience, while the lengthening days after the winter solstice embodied life and resurrection. However, the role of the solstice in Nordic and late Germanic pre-Christian mythology is disputed. It is noteworthy that in the “Western” cultural sphere, the sun was attributed to the male principle, while in the Germanic region, an exception existed, associating the sun with the female origin. The Germanic people were said to have celebrated the Yule feast with fire and light symbolism during the winter solstice. Historically verifiable written evidence is scarce, mostly in the form of calendar sticks with runic symbols.

    For a long time, the Christian Christmas festival (“the birth of the true sun” Jesus Christ) was considered an overlay of the Roman pagan cult of the emperor and the cult in honor of the god Sol. The assertion that Emperor Aurelian declared December 25th in the third century as the empire-wide “dies natalis solis invicti” is controversial in recent research. Today, a parallel development is assumed. The day of the winter solstice was likely occupied first by Christians since no pagan festival occurred at that time. The first secure mention of the pagan festival “Sol invictus” in the city of Rome dates back to the year 354. Furius Dionysius Philocalus described in the Chronicle of 354 that December 25th was the date of the birth of Jesus Christ. The development of festivals in honor of their respective gods had the same Neoplatonic-solar mythological roots and were closely connected. Both sides associated themselves with the “newly emerging sun” at the winter solstice.


    In the early Middle Ages, Christian missionaries adapted Germanic customs and rituals, such as the Yule tree during the winter solstice. They did not do so out of fascination for Germanic traditions but believed that the goal of their mission, Christianization, would be easier to achieve if the population’s customs were incorporated into their religion. Christmas was mentioned for the first time in the German-speaking region at the “Bavarian Synod” and officially introduced in 813 at the Mainz Synod.

    During the era of National Socialism, Nazi ideologists sought to diminish the Christian aspects of the Christmas festival. The research community Deutsche Ahnenerbe and the Rosenberg Office looked for historical and archaeological evidence to interpret Germanic rites and myths. A Nazi “replacement religion” was intended to be the goal of their entire ideological work, although there is disagreement on this view. In the external form of Nazi celebrations, Christian cult forms and rituals were incorporated. The experience that “made the heart beat faster” aimed to win over the average member of the Volksgemeinschaft. Therefore, the design of celebrations became crucial for shaping the Nazi state.

    By permeating everyday life with new celebrations, symbols, and myths, and by reinterpreting religious festival customs deeply rooted in the population, Nazi celebration designers aimed to convey Nazi ideology and values through emotional attachment. Hitler’s leading ideologist, Alfred Rosenberg, incorporated elements from the Germanic sun cult and introduced occult and theosophical elements into the newly developed Volkstum and its customs. To link this new belief with Christian traditions, Rosenberg used a deliberately introduced Nazi language reminiscent of sacred church language. This language incorporated elements of church liturgy. For example, the so-called “Nazi creed” and the “Sieg Heil!” (Hitler salute) gained popularity, drawing inspiration from the common “Amen!” in liturgical celebrations.

    According to Nazi representation, Christians and Jews had “stolen” Christmas from the Germans. In publications, they, without historical evidence, traced Christmas back to the Germanic Yule feast. The goal was to separate this intentional “re-Germanization,” a concept not universally embraced by all party members.

    Christmas Between Secularization and Sacralization

    The new secularization in the relationship between the state and the church in Germany was preceded by the youth movement of the 1920s. This often league-based youth celebrated solstices and lit large fires at highly visible locations. In the context of the progressive sacralization of Nazi ideology, Christmas, with a Christian imprint, was to be celebrated as the winter solstice and a “declaration ceremony for the people and the leader.”

    The Nazi regime was generally critical and dismissive of religious beliefs. However, only Alfred Rosenberg, the only high-ranking Nazi politician, left the church on November 15, 1933, after the seizure of power. The power of the church could not be ignored because the Christian faith was firmly rooted in large parts of the population. The proportion of members of Christian churches during the time of National Socialism, i.e., the membership of the two Christian denominations, was almost 95 percent at the beginning as well as at the end. In the 1939 census, of the remaining 5 percent, about 3.5 percent identified as “believers in God,” and approximately 1.5 percent claimed to be without faith. The remaining group of around 0.1 percent (86,423 people) included individuals who were “members of a church, religious society, or religious-ideological community.” The “Germanic faith movement” was also included in this. With the introduction of the term “believer in God” in 1936, an attempt was made to create a religious identification formula for National Socialists beyond churches and other religious communities.

    In particular, Adolf Hitler had a conflicted relationship with the church, without clear ideas about a future German religion. He believed it was best to let Christianity fade away slowly. At the same time, he was aware that if he forcibly eliminated the church, the people would clamor for a replacement. According to the rulers, the place of the churches should be taken in the future by the “Germanic national community.” However, Hitler’s loyalists, including Rosenberg, Heinrich Himmler, Joseph Goebbels, Bernhard Rust, Baldur von Schirach, and other party members who claimed a role in ideological participation and wanted to shape the “Germanic religion,” argued without a “brotherly basic tone.”

    Exaltation of Hitler

    As early as 1930, after gaining government participation in Thuringia, the Nazis sought to reshape the school system. With a law on April 16, 1930, prayers were to be regularly held at schools in their favor. Later, in the media and in children’s and youth work, the image of Adolf Hitler as a “God-sent” and “God-willed” Messiah was increasingly built, who, with “God’s help,” had risen to be the leader of the German nation. The population now explicitly included Hitler in their prayers and intercessions. Rudolf Hess, Hitler’s deputy, stated in 1934: “We can give no other conclusion to this hour of the community of the Germans in the world than that we turn our thoughts to the man whom fate has destined to be the creator of a new German people – a people of honor. The gift that we Germans bring to the world for Christmas again to Adolf Hitler is: trust. We once again place our destiny in his hands as thanks and a vow at the same time.”

    The Christmas festival played a significant role in the glorification of Adolf Hitler. Governmental authorities were involved in this effort. For example, during Christmas 1937, the Reichspost issued stamps with the inscription: “Our Leader, the Savior, is here,” inspired by the verse “Christ the Savior is born!” from “Silent Night, Holy Night.”

    The German Christmas from 1933 to 1945

    To establish holiday traditions like the Nazi Christmas, the “Office of the Delegate of the Führer for the Supervision of the Entire Intellectual and Ideological Education of the NSDAP,” led by Alfred Rosenberg from January 1934, played a crucial role. The “Center for Festival and Celebration Design” coordinated propaganda from various organizations and offices. The “Nazi celebration designers” aimed to gradually diminish the Christian influence on Christmas and replace it with the “Festival of the People’s Community under the Christmas Tree” – the German Christmas – as a celebration of the “national rebirth.” Until 1942, there were disputes between Rosenberg and Reich Propaganda Minister Joseph Goebbels over the ideological goals of transforming Christmas. Rosenberg sought to create a new myth, namely that of “Germanic-German religious renewal,” as a replacement for Christian beliefs.

    The Christmas Collections of the Winter Relief Organization (WHW)

    Facing the global economic crisis in the early 1930s, the government under Chancellor Heinrich Brüning felt compelled in the winter of 1931 to conduct a nationwide fundraising campaign to alleviate the hardships in the population. The Nazi leadership recognized early on the propaganda potential of this fundraising effort. In 1933, the Winter Relief Organization was placed under the Ministry of Public Enlightenment and Propaganda, led by Joseph Goebbels. Later, it was organized by the National Socialist People’s Welfare. The campaigns, with their house and street collections, appealed to “solidarity with the suffering fellow citizens.” The organizers invoked Christian values, urging the population to donate out of charity. The constantly changing motifs on door plaques and badges, worn on clothing or displayed on apartment doors, exerted psychological pressure on those trying to evade the fundraising. They provided information about the willingness of each person to donate. At the same time, the badge series also appealed to the enthusiasm for collecting. The WHW engaged children in the fundraising activities. Additionally, postage stamps related to the Winter Relief Organization were issued by the Reichspost, targeting philatelists. Alongside this, there were various other sources of income through specially organized sports competitions, “sacrificial shooting” events, theater performances, concerts, and collection boxes in stores. The Hitler Youth and the League of German Girls organized these activities, encouraging young people to participate in street collections shortly before Christmas.


    Particularly distressed regions in Germany produced Christmas badges for the Winter Relief Organization. For example, wooden figures for Christmas trees were crafted in the Erzgebirge. Glassblowers in Gablonz an der Neiße and Lauscha in Thuringia produced glass decorations, glass badges, and glass figures for the festival. Initially, most badge motifs were inspired by nature, homeland, and tradition, and later, motifs with runes, standards, and weapon types were added.

    The Winter Relief Organization’s fundraising campaigns took place from October to March each year. The media participated through extensive coverage, and prominent artists often publicly supported the collections. The Winter Relief Organization also held significance during wartime, with the “Wool Collection” donating warm clothing to soldiers.

    The German Christmas from 1933 until the outbreak of World War II

    Immediately after taking power, over 30,000 celebrations for the Nazi People’s Christmas with gift-giving and meals for needy citizens were held annually. From 1934, these events were moved to large halls. Public Christmas celebrations for “needy fellow citizens” were organized by the Reich Labor Service, the Wehrmacht, the NS Women’s League, and the Winter Relief Organization. The goal was to establish the German People’s Christmas and promote a positive attitude toward Nazi mass organizations. The National Socialist People’s Welfare distributed wish lists to the needy during Christmas. Almost exclusively private donors supported several million needy individuals and large families during Christmas. The German Women’s Work and other Nazi women’s and youth organizations held meetings in the pre-Christmas period until 1938. Participants “crafted” and sent Christmas gifts to fellow citizens in the eastern territories and the Saarland.

    In the first years of Nazi rule, attempts were made to limit the use of Christian symbols in public. Through regulations and official guidelines, such as those in 1936 regarding shop window displays, displacement was sought. However, due to public dissatisfaction, the authorities relativized or revised such measures after only a few weeks. After the failure to banish Christian symbolism, there was an increased effort to derive Christian traditions and symbols from Germanic customs. Propaganda openly accused the Church of manipulating Christmas for its own purposes. Brochures such as “German Christmas,” “German War Christmas,” or in the calendar “Pre-Christmas,” address the degeneration of the originally Germanic Festival of Lights, as claimed, “degeneration through Christianity.”


    After the first years of National Socialism, a Nazi Christmas cult emerged from elements of the patriotic and bund youth movement and mystical Christmas traditions. The outbreak of the Second World War marked a turning point in the propagandistic use of the Christmas festival.

    War Christmas

    During the war Christmases from 1939 to 1944, the “Nazi celebration organizers” endeavored to emphasize the connection between soldiers from various fronts and their homeland. With the fear that the population would increasingly seek solace in religious belief during wartime, the Nazi leadership attempted to influence family Christmas celebrations. Due to the prolonged separation of many families’ members and the losses of family members, there was often a somber mood. New rituals were introduced, such as “remembrance of the dead” within the family Christmas celebration. Some previously established Christmas rites were adapted to the wartime situation. Others, such as the winter solstice celebration, were entirely omitted. During the last years of the war, propaganda stylized the Christmas festival as a cultic celebration of reverence for the dead. This is illustrated in the text of the book “German War Christmas,” printed millions of times in 1943. Simultaneously, propaganda used the Christmas festival to demonstrate the alleged superiority of German culture.

    Christmas in the Homeland

    Due to the shortage of labor caused by the conscription of men into military service, women often bore the entire responsibility. Especially in the last years of the war, the procurement of food was disastrous. Therefore, families improvised to still be able to spend a “successful” Christmas. In the early war years, despite the introduction of food cards, Reich clothing cards, and ration vouchers, the supply situation for the German population was more or less satisfactory. This was attributed to the systematic plundering of occupied territories. From 1941, the supply situation in the Reich territory became increasingly critical. Exploiting the emotional atmosphere of the Christmas season, a few days before Christmas, a call for donations of wool, fur, and winter clothing was launched by the Reich Ministry of Propaganda. In the last years of the war, food stamps were saved for weeks to exchange them for special Christmas food allocations. Everyday items often used for Christmas, such as candles, were made by youths and women in joint crafting sessions from wax remnants.

    Due to numerous air raids, the destruction of residential buildings, evacuations, and war-related deaths, it became increasingly difficult to celebrate a peaceful Christmas. Resignation and sarcasm overcame the population. In the last years of the war, families spent much time in air raid shelters due to almost daily flyovers by Allied bomber squadrons. The population increasingly spent Christmas Eve in bunkers.

    The Nazi propaganda portrayed the “German Mother” as the counterpart to the “German War Hero.”

    Christmas at the Front

    The staging of Christmas at the front received special attention from the propaganda units of the individual troop units. Elaborately designed photo and film reports in the German Weekly Review, the Front Show, and the monthly image reports of the NSDAP aimed to convey a perfectly staged, harmonious image of Christmas celebrations at the front. In all reports, the Christmas tree was effectively set as the German symbol of Christmas, whether on the Africa Front or in submarines.

    At the same time, romanticized and idealized notions of life at the front were sent to the homeland through the media. Countless reports of – in reality, rarely occurring – “crafting evenings” for Christmas gifts, allegedly held in bunkers, shelters, and at the front, were spread in films and magazines.

    During the war, the Propaganda Companies issued special Christmas commemorative publications for individual troop units as well as SS formations (e.g., “Christmas Celebrations of Comrades”). In the early years of the war, media-savvy efforts were made, involving high technical complexity, to allow wounded soldiers the opportunity to send “talking field post letters.” Similar to the First World War, there were instances of fraternization between opposing forces at the front during Christmas. For instance, despite the ongoing conflict, fighters on opposing sides came together for an improvised Christmas service on Christmas Eve in the winter of 1940/41.

    A significant portion of the reporting focused on retrospective accounts of “Christmas in the Field 1914–17.” Numerous texts, field post letters, and poems created during this period were republished in the Christmas publications of the Main Cultural Office of the Reich Propaganda Directorate of the NSDAP. The poem “Soldiers’ Christmas in the World War” by the writer Walter Flex, who fell in 1917 and was particularly revered by the National Socialists, is one of the most prominent examples of reviving the myth of the soldiers’ Christmas from the First World War. In almost all Christmas books, the address of a cavalry commander, Binding, from 1915 titled “German custom is to celebrate Christmas” was prominently featured.

    As the military situation changed, especially evident on the Eastern Front, doubts about the war increased. To maintain the morale of the troops, propaganda shifted focus from acquiring “living space in the East” to defending the homeland and protecting the family, starting around 1942. The Christmas writings of the Wehrmacht passionately conveyed this agenda. Even Christmas itself was declared a protectable asset that needed defending. In 1942, the Luftwaffe leadership took unusual measures to boost the morale of the units besieged in Stalingrad: dropping artificial Christmas trees adorned with tinsel, stars, and bells.

    The link between the home and the front

    The government placed special emphasis on maintaining a functional field post to demonstrate the unity of the national community and the close connection between the front and the homeland. Children were encouraged to write letters to their fathers “in the field” as part of their school activities. Especially during Christmas, the dispatch of Christmas packages by various mass organizations was organized during “home evenings” and, to some extent, monitored. The dimensions of field post packages were typically standardized and could not exceed one kilogram in weight; at times, the permissible weight was reduced to 100 grams, posing a particular challenge for families.

    The preparation and dispatching of field post packages, supported by prominent artists, were showcased in the German Weekly Review and numerous photo reports, creating a media spectacle. The gifting of soldiers in hospitals by children or young girls was a favored theme in Christmas reporting.

    However, numerous preserved field post letters and eyewitness accounts paint a different picture of the “Christmas celebrations at the front.” Particularly after 1942, when the military situation had significantly changed, reports increased that soldiers at the front were cut off from communication with home and families. Letters and field post packages arrived late or not at all, and the supply situation was often catastrophic, leading to increasing demoralization among the fighting troops, especially during these holidays.

    Christmas Speeches by Joseph Goebbels

    Reich Minister of Propaganda Joseph Goebbels introduced the radio address as an annual Christmas ritual. The speeches on the German People’s Christmas always reflected the current situation. Over the course of the war, the Christmas address evolved with the character of Christmas; initially, it was the contemplative festival within the family, later becoming the “festival of national hero remembrance.” The Christmas address in 1939 focused mainly on the “evacuees from the Saar region” and the “Baltic Germans resettled in the Reich” as the “bearers of the most magnificent and modern mass migration in recent history.” In 1940, Goebbels called on the German people to sacrifice and spoke of: “Therefore, at this wartime Christmas festival, let us hold our heads high and feel ourselves as German people and members of a great national family who deserve future national happiness all the more willingly, the more willingly they bear the hardships of the present. The deeper meaning of the Christmas festival has always been not so much to feel peace as happiness but rather to work and fight for peace.” In 1941, the Christmas address was dominated by an ever-escalating, exaggerated cult of the leader. Goebbels urged the people to follow Hitler as the guarantor of victory.

    One day before Christmas Eve in 1942, the German troops’ breakout from the encirclement of Stalingrad failed. The demise of the 6th Army was inevitable from that day onward. The morale and supply situation of the besieged troops on Christmas 1942 were catastrophic. Out of the estimated 195,000 trapped German soldiers, over 165,000 would not survive the battle or the subsequent captivity. In the face of the dramatically changing military situation, Goebbels delivered a poignant address on Christmas Eve. In the following years, the Propaganda Ministry repeatedly published its contents in numerous Christmas releases. In this speech, Goebbels invoked German virtues as prerequisites for ultimate victory. He stylized Christmas as a festival of hero remembrance and the day of a fateful decision battle for the race.

    “Our dead are indeed the only ones who have demands today, and that from all of us, both on the front and at home. They are the eternal admonishers, the voices of our national conscience that constantly drive us to fulfill our duty. Mothers, bearing grief for their lost sons, may find solace. They did not bring their children into the world in pain and raise them with care in vain. They led lives as men and heroes, the proudest and bravest existence a son of the homeland can have, and crowned it with the most heroic conclusion one can achieve. They sacrificed themselves so that we may stand in the light […] Embraced by the high night of clear stars, we look with faith and full confidence into the future. The free century to come shines upon us, as the poet says, in royal distance. It demands struggle and sacrifice from us. But one day, it will bow to us. That is only a matter of time and patience, of courage and diligence, of faith and trust, of the strength of our souls and the bravery of our hearts.”


    The Security Service of the SS reflected in confidential situation reports, “Reports from the Reich,” on the public sentiment triggered by Goebbels’ Christmas speeches. On December 29, 1942, a report described that the speech, with its “factual dignity and solemnity,” was particularly well-received by women. Simultaneously, the report noted that the feeling of the “security of the homeland” did not arise due to air raids in the west on Christmas Eve.

    On December 24, 1943, ten months after the Sportpalast speech in which Goebbels rhetorically fought against the Germans’ war weariness due to the increasing military defeats, he framed his Christmas address on the radio under the motto: “Rebirth of the Political World.” The last Christmas address on December 27, 1944, was no longer broadcast throughout the entire German Reich on the radio, as since October 1944, some major German cities were no longer under the control of the National Socialists. Punctuated by slogans encouraging perseverance and the invocation of belief in the ultimate victory, Goebbels placed this Christmas speech under the core theme “Battle of Tough Hearts.”

    Christmas Ring Broadcasts

    To strengthen the sense of unity between the homeland and all front sections, the so-called Christmas Ring Broadcast was aired on the radio on Christmas Eve from 1940 to 1943. The logistically complex radio program of the Greater German Radio had to be coordinated months in advance between the Reich Broadcasting Corporation, various military offices, propaganda companies, and the Reichspost. Rehearsals took place weeks in advance, and parts of the program were recorded.

    In the first war year of 1939, the radio broadcast a specially designed program on Christmas Eve. There were connections to, among other places, Weimar and Munich. Rudolf Hess and Joseph Goebbels delivered Christmas speeches. During the broadcast, Christmas greetings were sent to the front lines. Between the fixed contributions, organizers broadcasted Christmas and folk music.

    The Christmas Ring Broadcasts from 1940 had a kind of “live character.” However, doubts exist regarding their authenticity and live broadcasts. In 1942, the program had a special dialogue character between the studio announcer and numerous remote stations. The radio suggested a live connection between all front sections. Soldiers at the front exchanged greetings with the homeland. Listeners requested “spontaneous” Christmas songs, which were then sung collectively from all fronts. The last Christmas Ring Broadcast was produced in 1943. On Christmas Eve 1944, connections to the front lines were discontinued due to the military situation. The destruction of many radio transmission facilities resulted in a lack of technical capabilities for such a complex broadcast, especially since parts of the front were already on German territory.

    Only a few audio recordings of the Christmas Ring Broadcasts have been preserved (complete broadcast from 1940 and parts from 1942 and 1943). Numerous contemporary reports, though subject to source criticism, indicate that these broadcasts did not miss their intended impact. The mood reports, “Reports from the Reich,” compiled by the Security Service of the SS, recorded— with historical caution—an undoubtedly positive response among the German population. The strategy of the Christmas Ring Broadcasts was propagandistic but does not align with the “categories of a rhetorically manipulative propaganda concept” in the classical sense. Current media scientific literature views the four broadcasts as a blend of wartime propaganda, Nazi ideology, and Christmas traditions.

    Nazi Christmas Customs

    Winter Solstice Celebrations

    Solstice celebrations, organized by the German bourgeois youth movement such as the Wandervogel and later the Bündische Jugend, were considered significant community-building elements and emotionally charged rituals since the early 20th century. Solstice celebrations held a central position in the Nazi festive calendar. Similar to other rituals and festivals, Nazi ideologists incorporated sacred elements. The celebrated sun cult was purportedly derived from Germanic mythology. In the initial years, mainly local groups of the NSDAP, the Schutzstaffel, the Hitler Youth, and the League of German Girls organized solstice celebrations. From 1935, the events were centralized, and after 1937, they gained mass character, such as in the Berlin Olympic Stadium. According to the organizers, the Winter Solstice celebration aimed to reinterpret Christmas as a festival of the “rising light.” The proceedings were also organized with guidelines. With the onset of the war, the directive of 1939 included the addition “Not feasible during the war due to blackout regulations.”

    Proceedings of Solstice Celebrations

    The following excerpt from such a directive describes the proceedings (evident are the sacred parallels to church processions and services):

    • Silent march to the fire site. Formation in a square, open on the smoke side. Torchbearers light the torches and step towards the woodpile.
    • Fanfares
    • Group song (“And when we march” – “Holy Fatherland” or others)
    • Ignition of the woodpile by the torchbearers. Beforehand, a fire incantation can be spoken, or torch swinging and a torch dance can be performed.
    • Group song (“Flame rising”)
    • Brief address by the dignitary or unit leader
    • Hymn (“We gather to pray,” “Germany holy word,” possibly drum roll)
    • Wreath toss with sayings
    • Short period of contemplation
    • Closing words
    • Honoring the leader – German anthems

    The departure takes place as a torchlight procession. A fire guard remains at the fire site.” The lighting of torches and fires was intended to evoke emotions. The climax was the igniting of straw-wrapped sunwheels, which were usually rolled downhill afterward. The content of the speech was also predetermined. The options included “Winter Solstice in Faith, Custom, and Tradition” or “Winter Solstice and Yule Festival.” Often, the stirring song “Behold, it shines on the threshold” by Baldur von Schirach was included. Youth organizations distributed badges as a reminder of the celebration, which were worn on the uniforms. The elaborate productions aimed to establish identity. This effect was particularly successful, especially among the youth.

    “Homecoming of the Fire”

    In line with the “National Socialist celebrators,” the organization of solstice celebrations aimed to create a contrast to the more contemplative and traditional family celebrations. To indoctrinate even the domestic Christmas celebrations and symbolically bring the solstice fire into families, a new ritual was initiated from 1939 onwards: “The Homecoming of the Fire.” Torches were used to light the candles on the central Christmas tree of the locality, the “People’s Christmas Tree.” On Christmas Eve, children were supposed to fetch the fire for the home Christmas tree. Symbolically, the light of renewal was meant to be brought into every family from a central fire. However, this custom did not gain much popularity among the population, partly due to blackout measures during the war.

    Christmas as the Festival of Universal Motherhood

    Jesus Christ, the symbol of the long-awaited Savior for many believers, did not align with the ideology of the National Socialists, for whom there was only Adolf Hitler, the savior and liberator on the “Day of Liberation.” The Gospel was displaced in Nazi Christmas literature by tales such as that of the child in the golden cradle and Frau Holle as the guardian of unborn life and life-giving mother.


    After several years of Nazi rule, there was overt and open polemics against the Christian Christmas story, replacing it with a depiction that, alongside rooted biblical elements like the nativity scene, also incorporated elements from German fairy tales. From 1938 onwards, Frau Holle in these Christmas stories was increasingly stylized as the “Life Mother” and traced back to the Germanic goddess of love and marriage, Freya.

    In the early years of National Socialism, Christmas became the “Festival of Universal Motherhood,” the “Mother Night,” where the German mother was stylized as a substitute for the Virgin Mary. To this end, the Nazi Party established the Cross of Honor of the German Mother (Mother’s Cross) in 1938, awarded exclusively to mothers with proof of Aryan ancestry.

    Motherhood as the “seed” for the pure Aryan race, consisting of mothers and soldiers, was glorified and idealized in countless poems and writings, such as in “Becoming a Farmer Mother” or the widely circulated poem “Mother’s Christmas”:

    “So in the holy night on Earth we see Mothers standing bright in the glow of stars and candles, silently through night and hardship and pain they went, so that for the people of tomorrow, mothers and soldiers shall be.”

    During the war, women during Christmas became the most important target audience for Nazi propaganda, as they bore a significant psychological burden due to the war.

    Pre-Christmas, the Nazi Christmas Calendar

    With the suppression of Christian Christmas traditions from official language use and due to the paper shortage caused by the war, the traditional Advent calendar largely fell victim to censorship, with Christian motifs being replaced by fairy tale and animal figures. Due to its popularity, the children’s Advent calendar was replaced by a Pre-Christmas calendar, published by the Main Cultural Office in the Reich Propaganda Directorate of the Nazi Party.

    In addition to a selection of fairy tales and Nazi Christmas songs, instructions for wooden Christmas tree decorations in the form of runes and sunwheels, so-called Christmas gardens, and Klausen trees made of potatoes, baking instructions for symbolic pastries, the calendar also had a clear focus on military content, such as the sheet “Building Snow Bunkers and Snowmen” or “Children Draw” (suggested motif in 1942: burning Russian tanks and destroyed English ships). The interpretation of so-called ancestral and genealogical research and the derivation of the meaning of runes and symbols played a significant role in the calendar’s content.

    The Pre-Christmas calendar appeared in 1942 and 1943 with almost identical content. However, the design of the calendar sheets was adapted to the respective military situation on the front. While in 1942, the calendar sheet “1 Day Until Christmas” was adorned with a decorative garland listing all front sections from the Atlantic to Africa, the East to Norway, in 1943, this element was retouched due to the changed front line. The accompanying text was also adjusted to the military and political situation: The removal of the term Greater German Reich in the 1943 calendar documented the changed military situation on the fronts.

    Nazi Christmas Decorations

    In numerous family and women’s magazines, crafting instructions for Christmas and table decorations were traditionally disseminated during the pre-Christmas period. In the widely circulated publications from the Main Cultural Office of the Propaganda Directorate of the Nazi Party, such as the Pre-Christmas calendars and the Almanacs of War Christmas, which were issued at the beginning of the war, preference was now given to promoting a naturalistic Christmas decoration supposedly borrowed from a Germanic origin.

    Candle holders were crafted from fir and boxwood branches, apples, nuts, wooden disks, and potatoes, often adorned with Germanic or Nordic symbols. Preferred decorative items included the so-called “Klausenbaum,” consisting of potatoes and fir branches, and the “Julleuchter,” decorated with Germanic symbols. Additionally, the classic Advent wreath made from fir green was “modified” into a green wreath in the form of a swastika with a central candle.

    In the SS, some leadership figures were inclined towards occultist ideas and the Germanic cult, despite the official classification of occultist associations as hostile sects in 1933. From 1938, Heinrich Himmler presented members of the SS with a so-called “Julleuchter” and a “Julteller” as Christmas gifts. These candle holders, made of fired clay and adorned with runes and Old Germanic symbols, were largely manufactured in large quantities for the SS’s own porcelain factory, Allach, in the concentration camps Dachau and Neuengamme. Besides ceramic Julleuchters, numerous wooden models, often featuring a central sun disk or other motifs from Germanic mythology, were widely distributed.

    Solstice Wreath and Fairy Tale Garden

    The traditional Advent wreath, originating from a 19th-century evangelical tradition, was intended to be replaced by the “Solstice Wreath” – often featuring sunwheel or Viking motifs – or the “Light Wreath,” according to the vision of the celebration organizers. The candles on the wreath no longer symbolized the four Advent Sundays but, as “Wishing Lights,” represented the four seasons. Appropriate to the lighting of the “Wishing Lights,” lighting verses were now recited, suggested in corresponding Christmas booklets. The Christmas crib, passed down through many families for generations, was now considered outdated and should yield to a woodland landscape with wooden or cardboard animal motifs, marketed under the names “Weihnachtsgärtlein” or “Märchengarten.” Simultaneously, numerous publications appeared in which the Christmas story was denigrated: the adoring shepherds were depicted as a folksy group “blowing through the fields at the winter solstice.” Instead of the traditional Christmas story, fairy tales were now mostly narrated. The story of Frau Holle took a central position, and new romanticized tales like “Christmas in the Forest” by Hildegard Rennert were extensively disseminated to increase the acceptance of the “Fairy Tale Garden” as a substitute for the Christmas crib.

    Lighting Verses

    In addition to the “Homecoming of the Fire,” the National Socialists attempted to introduce another new custom into the design of the family celebrations of German Christmas with the introduction of “Lichtersprüche” (lighting verses), aiming to counteract the danger of war weariness during the war. When lighting the “Wishing Lights” on the Solstice Wreath, verses were recited, provided as examples in the “Vorweihnachten” calendars, always intended to establish a connection between home and the front.

    “The children can also say more verses that the mother made herself before Christmas and taught the children. They can refer to loved ones, home, or the perhaps absent father.”

    Jul Tree

    The adorned Christmas tree was long considered the symbol of German Christmas. The usually inherited Christmas tree decorations with angels, glittering balls, tinsel, angel hair, and tree toppers were now referred to as old-fashioned kitsch. During National Socialism, without scientific basis, the Christmas tree was seen as a branch of the Germanic World Tree and stylized as the “Symbol of German Christmas.” Simultaneously, suggestions were made for how to design the “species-appropriate German” lighted tree, the “Jultanne.” Apples, nuts, and homemade symbolic pastries were supplemented with scroll saw motifs of animals and Germanic symbols, runes, or purchased Yule decorations. The Yule or Christmas decorations resembled traditional Christmas tree ornaments – but with embossed runes, swastikas, and numerous Germanic symbols. As of 1934, the swastika was officially approved as Christmas decoration. During the pre-Christmas period, the “Decorations for the Christmas Tree” collection campaign was carried out, selling collectible figures from the Winter Relief Fund for the lighted tree. The glass Christmas tree topper was replaced by self-made “sunwheels,” and wooden frames in the form of wheel crosses were often used as Christmas tree stands.

    In some households, the Yule bow, decorated with boxwood, apples, nuts, and Germanic symbols, was also set up. The bow can be traced back to the still-traditional “Jöölboom” (also called Friesenbaum) in North Frisia in the northwest of Schleswig-Holstein. The National Socialist-promoted Yule bow was often decorated with self-baked or wooden Germanic symbols, Norns, and four candles. The shape of the bow is meant to symbolize the course of the sun and unite the symbols of fertility, light, and new life. Instructions for the production and decoration of such Yule bows were spread in many women’s magazines, such as the NS-Frauenwarte.

    Meaningful Pastries

    National Socialist influence extended to the production of NS holiday pastries. The universally beloved and traditional Christstollen and Christmas cookies in the shapes of hearts, stars, and fir trees were increasingly replaced by pastries with new motifs, such as runes, symbols, annual and sunwheels, as well as Germanic animal symbols from mythology, like the Yule boar or the Yule deer. In numerous publications, such as the NS-Frauen-Warte, recipe sheets from the “Zeitgemäßer Haushalt” (“Contemporary Household”), in Christmas books and “Vorweihnachtskalender” (“Pre-Christmas calendars”), but also from well-known baking ingredient manufacturers, corresponding recipes for such pastries were spread, and the Germanic symbols were explained. Particularly promoted – among other places in the Deutsche Wochenschau – was the meaningful pastries in the form of victory and Odal runes and sunwheels, primarily intended not for consumption but as decoration for the Yule bow and the appropriate Christmas or lighted tree. Even the craftsmanship involved in making baked goods was glorified as a spiritual act:

    During the pre-Christmas period in wartime, constantly new “contemporary” recipes were spread in women’s and family magazines. In addition to long-lasting and nutritious Christmas pastry recipes for care packages sent to the front, suggestions were made for producing pastries with little or no use of fat and sugar, such as war crumb cake, pearl croquant, or fat-free honey cake.

    During the war, the production of Christmas pastries was given high importance by National Socialist ideologues concerning the morale of the fighting troops. Therefore, the Reich Committee for Economic Enlightenment published numerous makeshift recipes and substitutes as the supply situation worsened. Manufacturers of baking ingredients also frequently published their modified recipes with an ideological preface, equating the value of women’s domestic activities with men’s wartime efforts. Special food allocations just before Christmas were intended to ensure that domestic Christmas baking could be carried out even in times of strained supplies.

    The Solsticeman

    One of the central symbolic figures of the Christian Christmas festival is St. Nicholas in his role as the bringer of gifts. The Saint, particularly revered by children as a benefactor and bearer of gifts, was reduced by the National Socialists to a Christian interpretation of the Germanic god Wodan, who rides a white horse over the earth and heralds the winter solstice. The figure of St. Nicholas was consequently displaced from common usage by a somewhat ominous character referred to as the Schimmelreiter, the Rauhe Percht, the German Knecht Ruppricht, or the Weihnachtsmann or Solsticeman. In many regions, these rather intimidating figures had appeared as companions of St. Nicholas in customs and took on a much more central role under the new ideological guidelines.

    National Socialist folklorists relied especially on Jacob Grimm’s depiction of Knecht Ruprecht in his work “Deutsche Mythologie” (German Mythology). They linked folkish NS symbolism with Germanic-heathen mythology, folk traditions, and a pseudo-religious approach to increase acceptance of the newly created figure of the gift-giver. The Nikolaustag, December 6th, was officially renamed “Ruprechtstag” in 1940. In numerous Christmas books, the figure of St. Nicholas was downright ridiculed, and the Weihnachtsmann was portrayed as the “real benefactor.”

    Christmas Songs

    Many German Christmas songs have a very ancient tradition and can be traced back to chants sung during festive church services. Originally in Latin, many were partially or entirely translated into vernacular languages during medieval times, such as “In dulci Jubilo” – “Now sing and be joyful.” Another root of Christmas songs, such as “Joseph, lieber Joseph mein,” lies in the Christmas custom of symbolically “rocking the cradle” of the baby Jesus in the crib, a practice mainly observed in medieval women’s monasteries. Traditional Christian Christmas songs were deeply embedded in people’s thoughts and were sung at all Christmas celebrations.

    National Socialist ideologues systematically attempted to “de-Christianize” and “Germanize” Christmas songs through rephrasing and eliminate biblical or religious references; at most, “God” was mentioned as a religious cipher. Some of them, like “Tochter Zion, freue dich,” “Du lieber heiliger frommer Christ,” or “Zu Bethlehem geboren,” were directly banned by censorship at official events. Others, such as “O Tannenbaum” and “Morgen, Kinder, wird’s was geben,” appeared “unobjectionable” to the authorities. However, despite the intensive spread of the new song lyrics through mass media and at large events, they could not prevail against traditional Christmas songs, especially within the family circle.

    New Christmas Songs

    New Christmas songs deeply rooted in National Socialist ideology were massively disseminated on the radio, in schools, and at Christmas celebrations of mass organizations. Among the frequently played new Christmas songs were “In dieser klaren Sternennacht,” “Tal und Hügel sind verschneit,” “Der Schnee ist leis gesunken,” and “Weihnacht der Soldaten.” Most of the National Socialist Christmas songs were characterized by florid lyrics with exaggerated pathos.

    The most well-known among them, “Hohe Nacht der klaren Sterne” (1936), was composed by Hans Baumann, who had already gained recognition with the National Socialists in 1932 with the song for the German Labor Front, “Es zittern die morschen Knochen.” Rarely acknowledged after 1945, Heino re-released it on a Christmas album in 2003.

    Other Christmas songs created during the National Socialist era continued to circulate after World War II. This includes the Christmas song “Bald nun ist Weihnachtszeit,” which first appeared in the HJ-Liederblatt 65 in 1936.

    Manipulated Christmas Songs

    For some traditional songs, such as “Es ist ein Ros entsprungen,” there were multiple reworkings sung at official celebrations but had little circulation within the family circle. Even the most famous German Christmas song, “Stille Nacht, heilige Nacht,” was rephrased in 1942: the “beloved, highly holy couple” became the “radiant Christmas tree,” and “Christ, in deiner Geburt” was rewritten as “Werdet Lichtsucher all!” One of the rephrased Christmas songs, originally known as the Aargauer Sterndrehermarsch, has persisted in a slightly modified version of Paul Hermann’s reworking (1939) in the repertoire to the present day. The following comparison illustrates some of these rephrasings.

    Excursus: Christmas Gifts 1933 to 1945

    Christmas gifts reflect to a great extent the economic situation of society. In the early years of National Socialism, adults often wished for everyday items such as kitchen appliances, clothing, home decor, books, and frequently sweets or wine and spirits. In the mid-1930s, radios, especially Volksempfängers, became increasingly popular Christmas gifts. Among the needy and war-disabled, these were sometimes financed through the Dr. Goebbels Radio Fund (until 1942: 150,000 devices).

    In addition to the traditionally popular Christmas gifts for children, such as board games, musical instruments, books, clothing, dolls, and doll accessories for girls, and technical toys and sports equipment for boys, a trend emerged in the mid-1930s towards an increasing presence of war toys in Christmas catalogs of department stores and toy shops and newspaper advertisements. Alongside fortresses, tanks, tin soldiers, and Elastolin figures in Jungvolk, Hitler Youth (HJ), SA, and SS uniforms, toy catalogs also promoted the “Führer’s Car” by the Tippco company. In addition to fighting and military figures, a wide range of props and equipment was provided to convey an image of soldiering not only characterized by combat but also by camaraderie and care.

    As early as 1933, the “Reich Association of German Toy, Basket, and Pram Dealers” was founded, offering not only traditional toys but increasingly toys with a National Socialist character. Advertisements for subscriptions to the Reich newspaper Die HJ – the combat paper of the Hitler Youth or Das Deutsche Mädel as a Christmas gift were placed in newspapers alongside traditional Christmas ads from the mid-1930s. During this time, the wish list of young people also included equipment or parts for a Hitler Youth or League of German Girls uniform.

    The National Socialist educational goal, the dissemination of National Socialist ideology in all public and private life, is also evident in the selection of toys that were preferentially advertised. While girls were traditionally prepared for their future maternal role with dolls, National Socialist and folk-decorated dollhouses, and corresponding accessories, boys were playfully introduced to military service by the mid-1930s.

    Current political events were incorporated into board and card games and propagandistically processed, such as the board game “Reichsautobahnen im Bau” (Reich Motorways Under Construction). In 1938, with the “Return of the Ostmark” and Sudetenland to the Reich, the board game “Reise durch Großdeutschland” (Journey through Greater Germany) was introduced to the market.


    During the war, military themes were particularly emphasized in the design of toys, especially by toy companies that were “Aryanized,” such as the Nuremberg companies J.W. Spear & Sons and Tipp & Co. This included campaigns of the Wehrmacht, such as the naval warfare against England in the board games “Wir fahren gegen Engeland” (We’re Sailing Against England, 1940), “Bomben auf England” (Bombs on England, 1940), “Wehrschach” (1938), or the “Adler Luftverteidigungsspiel” (Eagle Air Defense Game).

    The aim of the increasing militarization of toys was targeted indoctrination of children and teenagers, as well as preparation for future military service. Even Nazi racial policies were to be conveyed to children aged eight to twelve through games, as exemplified by the board game “Juden raus” (Jews Out) or the anti-Semitic children’s books from the Stürmer-Verlag “Der Giftpilz” (The Poisonous Mushroom) and “Trau keinem Fuchs auf grüner Heid und keinem Jud bei seinem Eid” (Trust No Fox in a Green Meadow or Jew on his Oath) – a picture book for young and old.

    During the war, the Christmas gifts of the population also underwent changes. Many businesses were converted to wartime production, and consumer goods and toys were scarcely produced. In 1943, a ban on the production of toys was imposed. Numerous magazines now featured sections with instructions for crafting Christmas gifts from “remnants” and materials from nature. Clothing was repurposed, with fabric scraps, for example, sewn into doll clothes. To compensate for the lack of commercially available toys, Christmas decorations, and candles, crafting sessions were organized at so-called “home evenings” of the Hitler Youth, the League of German Girls, or the NS Women’s Organization, where Christmas gifts were made, and swap meets for clothing and everyday items were established.

    The transformation of unusual materials, such as shell casings and broken everyday items, into gifts was characteristic of the last Christmases of the war. In magazines, advertisements were printed during the pre-Christmas season, promising customers a specific product for the time after the war.

    The official stance of the National Socialist event organizers emphasized that the Nazi Christmas celebrations did not aim to displace the influence of the churches. However, the congruence of the proceedings and the design of the events with religious celebrations and the overlapping dates indicate an intention to secularize Christmas and reduce the influence of religion in public and private life. In large parts of the German population, religion and Christian traditions were deeply rooted.

    The extent of the influence of Nazi propaganda on family Christmas celebrations is difficult to determine. Many surveys are based on the analysis of eyewitness reports. While public gatherings and Christmas celebrations, at least in the first years of Nazi rule, could foster a sense of unity among broader segments of the population, especially among the youth, other rituals initiated by the event organizers failed to have the desired effect. In particular, the altered Christmas songs did not gain significant popularity in private circles outside mass events. An exception is the song “Hohe Nacht der klaren Sterne” (High Night of Clear Stars), which, although widely spread at mass events and on the radio, could not replace the well-known Christmas carol “Stille Nacht” (Silent Night). This was evident in the design of the Christmas editions of the Deutsche Wochenschau (German Weekly Review) and the Christmas ring broadcasts, where the popular Christmas carol “Stille Nacht” – in its original text – was usually used for musical accompaniment or as the conclusion of the broadcast to create a sense of connection.

    Many suggestions initiated by the Reich Propaganda Directorate for the design of the German Christmas were only marginally used, even in Nazi mass media. Instead, traditional Christmas symbols were employed. In particular, the traditional Christmas tree with candles and tinsel could not be replaced by the Nazi “light tree” with wooden ornaments in the form of runes. Even in almanacs like “Deutsche Kriegsweihnacht” (German War Christmas), published by the Reich Ministry of Propaganda, promoting Nazi Christmas decorations, a photograph by Heinrich Hoffmann was printed, showing Adolf Hitler in front of a tinsel-decorated Christmas tree.

    Replacement rituals, such as the “Homecoming of the Fire” and the “Christmas cult of the dead,” also failed to gain traction among the population. One reason for this is considered to be that during the war, many Germans sought refuge in faith, and many public events (Winter Solstice celebrations, community gift-givings, etc.) could not be held due to war-related disruptions. Particularly during the war, the German population increasingly adhered to the Christian message of peace, seeking solace and guidance in religion.

    The impact of ideologically influenced toys and children’s books on Nazi education is challenging to assess. Military toys had traditionally been among the preferred Christmas wishes for boys even before 1933. Particularly at the beginning and during the early years of the war, the proportion of war-related and ideologically influenced toys increased until toy production came to a halt in 1943 due to the war. Many eyewitnesses can recall the presence of such games and books in households.

    Despite the intense efforts of Nazi ideologists to secularize the Christian Christmas festival, they failed to introduce Christmas as the “celebration of awakening nature” to large parts of the population. Only a small portion of the population embraced the newly created Christmas rituals. The cult of the Führer, which played an important role in the festive arrangements during Christmas, was the most successful instrument of Nazi propaganda in terms of mass impact.

    Response in the German Population

    The official stance of the National Socialist event organizers emphasized that the Nazi Christmas celebrations did not aim to displace the influence of the churches. However, the congruence of the proceedings and the design of the events with religious celebrations and the overlapping dates indicate an intention to secularize Christmas and reduce the influence of religion in public and private life. In large parts of the German population, religion and Christian traditions were deeply rooted.

    The extent of the influence of Nazi propaganda on family Christmas celebrations is difficult to determine. Many surveys are based on the analysis of eyewitness reports. While public gatherings and Christmas celebrations, at least in the first years of Nazi rule, could foster a sense of unity among broader segments of the population, especially among the youth, other rituals initiated by the event organizers failed to have the desired effect. In particular, the altered Christmas songs did not gain significant popularity in private circles outside mass events. An exception is the song “Hohe Nacht der klaren Sterne” (High Night of Clear Stars), which, although widely spread at mass events and on the radio, could not replace the well-known Christmas carol “Stille Nacht” (Silent Night). This was evident in the design of the Christmas editions of the Deutsche Wochenschau (German Weekly Review) and the Christmas ring broadcasts, where the popular Christmas carol “Stille Nacht” – in its original text – was usually used for musical accompaniment or as the conclusion of the broadcast to create a sense of connection.

    Many suggestions initiated by the Reich Propaganda Directorate for the design of the German Christmas were only marginally used, even in Nazi mass media. Instead, traditional Christmas symbols were employed. In particular, the traditional Christmas tree with candles and tinsel could not be replaced by the Nazi “light tree” with wooden ornaments in the form of runes. Even in almanacs like “Deutsche Kriegsweihnacht” (German War Christmas), published by the Reich Ministry of Propaganda, promoting Nazi Christmas decorations, a photograph by Heinrich Hoffmann was printed, showing Adolf Hitler in front of a tinsel-decorated Christmas tree.

    Replacement rituals, such as the “Homecoming of the Fire” and the “Christmas cult of the dead,” also failed to gain traction among the population. One reason for this is considered to be that during the war, many Germans sought refuge in faith, and many public events (Winter Solstice celebrations, community gift-givings, etc.) could not be held due to war-related disruptions. Particularly during the war, the German population increasingly adhered to the Christian message of peace, seeking solace and guidance in religion.

    The impact of ideologically influenced toys and children’s books on Nazi education is challenging to assess. Military toys had traditionally been among the preferred Christmas wishes for boys even before 1933. Particularly at the beginning and during the early years of the war, the proportion of war-related and ideologically influenced toys increased until toy production came to a halt in 1943 due to the war. Many eyewitnesses can recall the presence of such games and books in households.

    Despite the intense efforts of Nazi ideologists to secularize the Christian Christmas festival, they failed to introduce Christmas as the “celebration of awakening nature” to large parts of the population. Only a small portion of the population embraced the newly created Christmas rituals. The cult of the Führer, which played an important role in the festive arrangements during Christmas, was the most successful instrument of Nazi propaganda in terms of mass impact.