1491: New Revelations of the Americas Before Columbus (by Charles C. Mann, 2005) - аудиокнига на английском
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1491: New Revelations of the Americas Before Columbus (by Charles C. Mann, 2005) - аудиокнига на английском
В данной книге представлено новое видение развития Америки, в частности, речь пойдет об исторических свидетельствах более раннего заселения территории путем миграции людей не только через берингов сухопутный маршрут. Автор раскрывает вопросы демографии, генетики, культурологи и многих других отраслей, определяющих этапы развития страны, ранее именуемой Новым Светом. Автор основательно проработал тематику использования коренными американцами оружия, он приводит аргументы в пользу превосходства «технического» оснащения американцами в сравнение с европейцами. Вторые могли бы позавидовать в плане производства обувки. Так, пока европейцы носили неудобные сапоги, американцы не могли нарадоваться удобству мокасин. Используемые в военных атаках стрелы способны были с большей точностью поражать жертву, нежели пистолет, а тихие каноэ оказывались куда более быстрыми и маневренными нежели обычные лодки. Что касается ведения сельского хозяйства и изобретений, здесь автор также отмечает различия в развитии культур Америки и Европы. Отсутствие изобретений, одомашненных животных – результат географической изоляции.
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The seeds of this book date back, at least in part, to 1983, when I wrote an article for Science about a NASA program that was monitoring atmospheric ozone levels. In the course of learning about the program, I flew with a research team in a NASA plane equipped to sample and analyze the atmosphere at thirty thousand feet. At one point the group landed in M?rida, in Mexico’s Yucat?n Peninsula. For some reason the scientists had the next day off, and we all took a decrepit Volkswagen van to the Maya ruins of Chich?n Itz?. I knew nothing about Mesoamerican culture—I may not even have been familiar with the term “Mesoamerica,” which encompasses the area from central Mexico to Panama, including all of Guatemala and Belize, and parts of El Salvador, Honduras, Costa Rica, and Nicaragua, the homeland of the Maya, the Olmec, and a host of other indigenous groups. Moments after we clambered out of the van I was utterly enthralled. On my own—sometimes for vacation, sometimes on assignment—I returned to Yucat?n five or six times, three times with my friend Peter Menzel, a photojournalist. For a German magazine, Peter and I made a twelve-hour drive down a terrible dirt road (thigh-deep potholes, blockades of fallen timber) to the then-unexcavated Maya metropolis of Calakmul. Accompanying us was Juan de la Cruz Brice?o, Maya himself, caretaker of another, smaller ruin. Juan had spent twenty years as a chiclero, trekking the forest for weeks on end in search of chicle trees, which have a gooey sap that Indians have dried and chewed for millennia and that in the late nineteenth century became the base of the chewing-gum industry. Around a night fire he told us about the ancient, vine-shrouded cities he had stumbled across in his rambles, and his amazement when scientists informed him that his ancestors had built them. That night we slept in hammocks amid tall, headstone-like carvings that had not been read for more than a thousand years. My interest in the peoples who walked the Americas before Columbus only snapped into anything resembling focus in the fall of 1992. By chance one Sunday afternoon I came across a display in a college library of the special Columbian quincentenary issue of the Annals of the Association of American Geographers. Curious, I picked up the journal, sank into an armchair, and began to read an article by William Denevan, a geographer at the University of Wisconsin. The article opened with the question, “What was the New World like at the time of Columbus?” Yes, I thought, what was it like? Who lived here and what could have passed through their minds when European sails first appeared on the horizon? I finished Denevan’s article and went on to others and didn’t stop reading until the librarian flicked the lights to signify closing time. I didn’t know it then, but Denevan and a host of fellow researchers had spent their careers trying to answer these questions. The picture they have emerged with is quite different from what most Americans and Europeans think, and still little known outside specialist circles. A year or two after I read Denevan’s article, I attended a panel discussion at the annual meeting of the American Association for the Advancement of Science. Called something like “New Perspectives on the Amazon,” the session featured William Bal?e of Tulane University. Bal?e’s talk was about “anthropogenic” forests—forests created by Indians centuries or millennia in the past—a concept I’d never heard of before. He also mentioned something that Denevan had discussed: many researchers now believe their predecessors underestimated the number of people in the Americas when Columbus arrived. Indians were more numerous than previously thought, Bal?e said—much more numerous. Gee, someone ought to put all this stuff together, I thought. It would make a fascinating book. I kept waiting for that book to appear. The wait grew more frustrating when my son entered school and was taught the same things I had been taught, beliefs I knew had long been sharply questioned. Since nobody else appeared to be writing the book, I finally decided to try it myself. Besides, I was curious to learn more. The book you are holding is the result. Some things this book is not. It is not a systematic, chronological account of the Western Hemisphere’s cultural and social development before 1492. Such a book, its scope vast in space and time, could not be written—by the time the author approached the end, new findings would have been made and the beginning would be outdated. Among those who assured me of this were the very researchers who have spent much of the last few decades wrestling with the staggering diversity of pre-Columbian societies. Nor is this book a full intellectual history of the recent changes in perspective among the anthropologists, archaeologists, ecologists, geographers, and historians who study the first Americans. That, too, would be impossible, for the ramifications of the new ideas are still rippling outward in too many directions for any writer to contain them in one single work. Instead, this book explores what I believe to be the three main foci of the new findings: Indian demography (Part I), Indian origins (PartII), and Indian ecology (Part III). Because so many different societies illustrate these points in such different ways, I could not possibly be comprehensive. Instead, I chose my examples from cultures that are among the best documented, or have drawn the most recent attention, or just seemed the most intriguing. Throughout this book, as the reader already will have noticed, I use the term “Indian” to refer to the first inhabitants of the Americas. No question about it, Indian is a confusing and historically inappropriate name. Probably the most accurate descriptor for the original inhabitants of the Americas is Americans. Actually using it, though, would be risking worse confusion. In this book I try to refer to people by the names they call themselves. The overwhelming majority of the indigenous peoples whom I have met in both North and South America describe themselves as Indians. (For more about nomenclature, see Appendix A, “Loaded Words.”) In the mid-1980s I traveled to the village of Hazelton, on the upper Skeena River in the middle of British Columbia. Many of its inhabitants belong to the Gitksan (or Gitxsan) nation. At the time of my visit, the Gitksan had just lodged a lawsuit with the governments of both British Columbia and Canada. They wanted the province and the nation to recognize that the Gitksan had lived there a long time, had never left, had never agreed to give their land away, and had thus retained legal title to about eleven thousand square miles of the province. They were very willing to negotiate, they said, but they were not willing to not be negotiated with. Flying in, I could see why the Gitksan were attached to the area. The plane swept past the snowy, magnificent walls of the Rocher de Boule Mountains and into the confluence of two forested river valleys. Mist steamed off the land. People were fishing in the rivers for steelhead and salmon even though they were 165 miles from the coast. The Gitanmaax band of the Gitksan has its headquarters in Hazelton, but most members live in a reserve just outside town. I drove to the reserve, where Neil Sterritt, head of the Gitanmaax council, explained the litigation to me. A straightforward, level-voiced man, he had got his start as a mining engineer and then come back home with his shirtsleeves rolled up, ready for a lengthy bout of legal wrangling. After multiple trials and appeals, the Supreme Court of Canada ruled in 1997 that British Columbia had to negotiate the status of the land with the Gitksan. Talks were still ongoing in 2005, two decades after the lawsuit first began. After a while Sterritt took me to see ‘Ksan, a historical park and art school created in 1970. In the park were several re-created longhouses, their facades covered in the forcefully elegant, black-and-red arcs of Northwest Coast Indian art. The art school trained local Indians in the techniques of translating traditionally derived designs into silk-screen prints. Sterritt left me in a back room of the schoolhouse and told me to look around. There was more in the room than he may have realized, for I quickly found what looked like storage boxes for a number of old and beautiful masks. Beside them was a stack of modern prints, some of which used the same designs. And there were boxes of photographs, old and new alike, many of splendid artworks. In Northwest Coast art the subjects are flattened and distorted—it’s as if they’ve been reduced from three dimensions to two and then folded like origami. At first I found all the designs hard to interpret, but soon some seemed to pop right out of the surface. They had clean lines that cut space into shapes at once simple and complex: objects tucked into objects, creatures stuffed into their own eyes, humans who were half beast and beasts who were half human—all was metamorphosis and surreal commotion. A few of the objects I looked at I understood immediately, many I didn’t understand at all, some I thought I understood but probably didn’t, and some maybe even the Gitksan didn’t understand, in the way that most Europeans today can’t truly understand the effect of Byzantine art on the spirits of the people who saw it at the time of its creation. But I was delighted by the boldly graphic lines and dazzled by the sense that I was peeking into a vibrant past that I had not known existed and that continued to inform the present in a way I had not realized. For an hour or two I went from object to object, always eager to see more. In assembling this book, I hope to share the excitement I felt then, and have felt many times since. INTRODUCTION Holmberg’s Mistake A View from Above IN THE BENI The plane took off in weather that was surprisingly cool for central Bolivia and flew east, toward the Brazilian border. In a few minutes the roads and houses disappeared, and the only traces of human settlement were the cattle scattered over the savanna like sprinkles on ice cream. Then they, too, disappeared. By that time the archaeologists had their cameras out and were clicking away in delight. Below us lay the Beni, a Bolivian province about the size of Illinois and Indiana put together, and nearly as flat. For almost half the year rain and snowmelt from the mountains to the south and west cover the land with an irregular, slowly moving skin of water that eventually ends up in the province’s northern rivers, which are upper tributaries of the Amazon. The rest of the year the water dries up and the bright green vastness turns into something that resembles a desert. This peculiar, remote, often watery plain was what had drawn the researchers’ attention, and not just because it was one of the few places on earth inhabited by some people who might never have seen Westerners with cameras. Clark Erickson and William Bal?e, the archaeologists, sat up front. Erickson, based at the University of Pennsylvania, worked in concert with a Bolivian archaeologist, who that day was elsewhere, freeing up a seat in the plane for me. Bal?e, of Tulane, is actually an anthropologist, but as scientists have come to appreciate the ways in which past and present inform each other, the distinction between anthropologists and archaeologists has blurred. The two men differ in build, temperament, and scholarly proclivity, but they pressed their faces to the windows with identical enthusiasm. Scattered across the landscape below were countless islands of forest, many of them almost-perfect circles—heaps of green in a sea of yellow grass. Each island rose as much as sixty feet above the floodplain, allowing trees to grow that otherwise could not endure the water. The forests were bridged by raised berms, as straight as a rifle shot and up to three miles long. It is Erickson’s belief that this entire landscape—thirty thousand square miles or more of forest islands and mounds linked by causeways—was constructed by a technologically advanced, populous society more than a thousand years ago. Bal?e, newer to the Beni, leaned toward this view but was not yet ready to commit himself. Erickson and Bal?e belong to a cohort of scholars that in recent years has radically challenged conventional notions of what the Western Hemisphere was like before Columbus. When I went to high school, in the 1970s, I was taught that Indians came to the Americas across the Bering Strait about thirteen thousand years ago, that they lived for the most part in small, isolated groups, and that they had so little impact on their environment that even after millennia of habitation the continents remained mostly wilderness. Schools still impart the same ideas today. One way to summarize the views of people like Erickson and Bal?e would be to say that they regard this picture of Indian life as wrong in almost every aspect. Indians were here far longer than previously thought, these researchers believe, and in much greater numbers. And they were so successful at imposing their will on the landscape that in 1492 Columbus set foot in a hemisphere thoroughly marked by humankind. Given the charged relations between white societies and native peoples, inquiry into Indian culture and history is inevitably contentious. But the recent scholarship is especially controversial. To begin with, some researchers—many but not all from an older generation—deride the new theories as fantasies arising from an almost willful misinterpretation of data and a perverse kind of political correctness. “I have seen no evidence that large numbers of people ever lived in the Beni,” Betty J. Meggers, of the Smithsonian Institution, told me. “Claiming otherwise is just wishful thinking.” Indeed, two Smithsonian-backed archaeologists from Argentina have argued that many of the larger mounds are natural floodplain deposits; a “small initial population” could have built the remaining causeways and raised fields in as little as a decade. Similar criticisms apply to many of the new scholarly claims about Indians, according to Dean R. Snow, an anthropologist at Pennsylvania State University. The problem is that “you can make the meager evidence from the ethnohistorical record tell you anything you want,” he says. “It’s really easy to kid yourself.” And some have charged that the claims advance the political agenda of those who seek to discredit European culture, because the high numbers seem to inflate the scale of native loss. Disputes also arise because the new theories have implications for today’s ecological battles. Much of the environmental movement is animated, consciously or not, by what geographer William Denevan calls “the pristine myth”—the belief that the Americas in 1491 were an almost untouched, even Edenic land, “untrammeled by man,” in the words of the Wilderness Act of 1964, a U.S. law that is one of the founding documents of the global environmental movement. To green activists, as the University of Wisconsin historian William Cronon has written, restoring this long-ago, putatively natural state is a task that society is morally bound to undertake. Yet if the new view is correct and the work of humankind was pervasive, where does that leave efforts to restore nature? The Beni is a case in point. In addition to building roads, causeways, canals, dikes, reservoirs, mounds, raised agricultural fields, and possibly ball courts, Erickson has argued, the Indians who lived there before Columbus trapped fish in the seasonally flooded grassland. The trapping was not a matter of a few isolated natives with nets, but a society-wide effort in which hundreds or thousands of people fashioned dense, zigzagging networks of earthen fish weirs (fish-corralling fences) among the causeways. Much of the savanna is natural, the result of seasonal flooding. But the Indians maintained and expanded the grasslands by regularly setting huge areas on fire. Over the centuries the burning created an intricate ecosystem of fire-adapted plant species dependent on indigenous pyrophilia. The Beni’s current inhabitants still burn, although now it is mostly to maintain the savanna for cattle. When we flew over the region, the dry season had just begun, but mile-long lines of flame were already on the march. Smoke rose into the sky in great, juddering pillars. In the charred areas behind the fires were the blackened spikes of trees, many of them of species that activists fight to save in other parts of Amazonia. The future of the Beni is uncertain, especially its most thinly settled region, near the border with Brazil. Some outsiders want to develop the area for ranches, as has been done with many U.S. grasslands. Others want to keep this sparsely populated region as close to wilderness as possible. Local Indian groups regard this latter proposal with suspicion. If the Beni becomes a reserve for the “natural,” they ask, what international organization would let them continue setting the plains afire? Could any outside group endorse large-scale burning in Amazonia? Instead, Indians propose placing control of the land into their hands. Activists, in turn, regard that idea without enthusiasm—some indigenous groups in the U.S. Southwest have promoted the use of their reservations as repositories for nuclear waste. And, of course, there is all that burning. HOLMBERG’S MISTAKE “Don’t touch that tree,” Bal?e said. I froze. I was climbing a low, crumbly hill and had been about to support myself by grasping a scrawny, almost vine-like tree with splayed leaves. “Triplaris americana,” said Bal?e, an expert in forest botany. “You have to watch out for it.” In an unusual arrangement, he said, T. americana plays host to colonies of tiny red ants—indeed, it has trouble surviving without them. The ants occupy minute tunnels just beneath the bark. In return for shelter, the ants attack anything that touches the tree—insect, bird, unwary writer. The venom-squirting ferocity of their attack gives rise to T. americana’s local nickname: devil tree. At the base of the devil tree, exposing its roots, was a deserted animal burrow. Bal?e scraped out some dirt with a knife, then waved me over, along with Erickson and my son Newell, who were accompanying us. The depression was thick with busted pottery. We could see the rims of plates and what looked like the foot of a teakettle—it was shaped like a human foot, complete with painted toenails. Bal?e plucked out half a dozen pieces of ceramic: shards of pots and plates, a chipped length of cylindrical bar that may have been part of a pot’s support leg. As much as an eighth of the hill, by volume, was composed of such fragments, he said. You could dig almost anywhere on it and see the like. We were clambering up an immense pile of broken crockery. The pile is known as Ibibate, at fifty-nine feet one of the tallest known forested mounds in the Beni. Erickson explained to me that the pieces of ceramic were probably intended to help build up and aerate the muddy soil for settlement and agriculture. But though this explanation makes sense on engineering grounds, he said, it doesn’t make the long-ago actions of the moundbuilders any less mysterious. The mounds cover such an enormous area that they seem unlikely to be the byproduct of waste. Monte Testaccio, the hill of broken pots southeast of Rome, was a garbage dump for the entire imperial city. Ibibate is larger than Monte Testaccio and but one of hundreds of similar mounds. Surely the Beni did not generate more waste than Rome—the ceramics in Ibibate, Erickson argues, indicate that large numbers of people, many of them skilled laborers, lived for a long time on these mounds, feasting and drinking exuberantly all the while. The number of potters necessary to make the heaps of crockery, the time required for labor, the number of people needed to provide food and shelter for the potters, the organization of large-scale destruction and burial—all of it is evidence, to Erickson’s way of thinking, that a thousand years ago the Beni was the site of a highly structured society, one that through archaeological investigation was just beginning to come into view. Accompanying us that day were two Sirion? Indians, Chiro Cu?llar and his son-in-law Rafael. The two men were wiry, dark, and nearly beardless; walking beside them on the trail, I had noticed small nicks in their earlobes. Rafael, cheerful almost to bumptiousness, peppered the afternoon with comments; Chiro, a local figure of authority, smoked locally made “Marlboro” cigarettes and observed our progress with an expression of amused tolerance. They lived about a mile away, in a little village at the end of a long, rutted dirt road. We had driven there earlier in the day, parking in the shade of a tumbledown school and some old missionary buildings. The structures were clustered near the top of a small hill—another ancient mound. While Newell and I waited by the truck, Erickson and Bal?e went inside the school to obtain permission from Chiro and the other members of the village council to tramp around. Noticing that we were idle, a couple of Sirion? kids tried to persuade Newell and me to look at a young jaguar in a pen, and to give them money for this thrill. After a few minutes, Erickson and Bal?e emerged with the requisite permission—and two chaperones, Chiro and Rafael. Now, climbing up Ibibate, Chiro observed that I was standing by the devil tree. Keeping his expression deadpan, he suggested that I climb it. Up top, he said, I would find some delicious jungle fruit. “It will be like nothing you have experienced before,” he promised. From the top of Ibibate we were able to see the surrounding savanna. Perhaps a quarter mile away, across a stretch of yellow, waist-high grass, was a straight line of trees—an ancient raised causeway, Erickson said. Otherwise the countryside was so flat that we could see for miles in every direction—or, rather, we could have seen for miles, if the air in some directions had not been filled with smoke. Afterward I wondered about the relationship of our escorts to this place. Were the Sirion? like contemporary Italians living among the monuments of the Roman Empire? I asked Erickson and Bal?e that question during the drive back. Their answer continued sporadically through the rest of the evening, as we rode to our lodgings in an unseasonable cold rain and then had dinner. In the 1970s, they said, most authorities would have answered my question about the Sirion? in one way. Today most would answer it in another, different way. The difference involves what I came to think of, rather unfairly, as Holmberg’s Mistake. Although the Sirion? are but one of a score of Native American groups in the Beni, they are the best known. Between 1940 and 1942 a young doctoral student named Allan R. Holmberg lived among them. He published his account of their lives, Nomads of the Longbow, in 1950. (The title refers to the six-foot bows the Sirion? use for hunting.) Quickly recognized as a classic, Nomads remains an iconic and influential text; as filtered through countless other scholarly articles and the popular press, it became one of the main sources for the outside world’s image of South American Indians. The Sirion?, Holmberg reported, were “among the most culturally backward peoples of the world.” Living in constant want and hunger, he said, they had no clothes, no domestic animals, no musical instruments (not even rattles and drums), no art or design (except necklaces of animal teeth), and almost no religion (the Sirion? “conception of the universe” was “almost completely uncrystallized”). Incredibly, they could not count beyond three or make fire (they carried it, he wrote, “from camp to camp in a [burning] brand”). Their poor lean-tos, made of haphazardly heaped palm fronds, were so ineffective against rain and insects that the typical band member “undergoes many a sleepless night during the year.” Crouched over meager campfires during the wet, buggy nights, the Sirion? were living exemplars of primitive humankind—the “quintessence” of “man in the raw state of nature,” as Holmberg put it. For millennia, he thought, they had existed almost without change in a landscape unmarked by their presence. Then they encountered European society and for the first time their history acquired a narrative flow. Holmberg was a careful and compassionate researcher whose detailed observations of Sirion? life remain valuable today. And he bravely surmounted trials in Bolivia that would have caused many others to give up. During his months in the field he was always uncomfortable, usually hungry, and often sick. Blinded by an infection in both eyes, he walked for days through the forest to a clinic, holding the hand of a Sirion? guide. He never fully recovered his health. After his return, he became head of the anthropology department at Cornell University, from which position he led its celebrated efforts to alleviate poverty in the Andes. Nonetheless, he was wrong about the Sirion?. And he was wrong about the Beni, the place they inhabited—wrong in a way that is instructive, even exemplary. Before Columbus, Holmberg believed, both the people and the land had no real history. Stated so baldly, this notion—that the indigenous peoples of the Americas floated changelessly through the millennia until 1492—may seem ludicrous. But flaws in perspective often appear obvious only after they are pointed out. In this case they took decades to rectify. The Bolivian government’s instability and fits of anti-American and anti-European rhetoric ensured that few foreign anthropologists and archaeologists followed Holmberg into the Beni. Not only was the government hostile, the region, a center of the cocaine trade in the 1970s and 1980s, was dangerous. Today there is less drug trafficking, but smugglers’ runways can still be seen, cut into remote patches of forest. The wreck of a crashed drug plane sits not far from the airport in Trinidad, the biggest town in the province. During the drug wars “the Beni was neglected, even by Bolivian standards,” according to Robert Langstroth, a geographer and range ecologist in Wisconsin who did his dissertation fieldwork there. “It was a backwater of a backwater.” Gradually a small number of scientists ventured into the region. What they learned transformed their understanding of the place and its people. Just as Holmberg believed, the Sirion? were among the most culturally impoverished people on earth. But this was not because they were unchanged holdovers from humankind’s ancient past but because smallpox and influenza laid waste to their villages in the 1920s. Before the epidemics at least three thousand Sirion?, and probably many more, lived in eastern Bolivia. By Holmberg’s time fewer than 150 remained—a loss of more than 95 percent in less than a generation. So catastrophic was the decline that the Sirion? passed through a genetic bottleneck. (A genetic bottleneck occurs when a population becomes so small that individuals are forced to mate with relatives, which can produce deleterious hereditary effects.) The effects of the bottleneck were described in 1982, when Allyn Stearman of the University of Central Florida became the first anthropologist to visit the Sirion? since Holmberg. Stearman discovered that the Sirion? were thirty times more likely to be born with clubfeet than typical human populations. And almost all the Sirion? had unusual nicks in their earlobes, the traits I had noticed on the two men accompanying us. Even as the epidemics hit, Stearman learned, the group was fighting the white cattle ranchers who were taking over the region. The Bolivian military aided the incursion by hunting down the Sirion? and throwing them into what were, in effect, prison camps. Those released from confinement were forced into servitude on the ranches. The wandering people Holmberg traveled with in the forest had been hiding from their abusers. At some risk to himself, Holmberg tried to help them, but he never fully grasped that the people he saw as remnants from the Paleolithic Age were actually the persecuted survivors of a recently shattered culture. It was as if he had come across refugees from a Nazi concentration camp, and concluded that they belonged to a culture that had always been barefoot and starving. Far from being leftovers from the Stone Age, in fact, the Sirion? are probably relative newcomers to the Beni. They speak a language in the Tup?-Guaran? group, one of the most important Indian language families in South America but one not common in Bolivia. Linguistic evidence, first weighed by anthropologists in the 1970s, suggests that they arrived from the north as late as the seventeenth century, about the time of the first Spanish settlers and missionaries. Other evidence suggests they may have come a few centuries earlier; Tup?-Guaran?–speaking groups, possibly including the Sirion?, attacked the Inka empire in the early sixteenth century. No one knows why the Sirion? moved in, but one reason may be simply that the Beni then was little populated. Not long before, the previous inhabitants’ society had disintegrated. To judge by Nomads of the Longbow, Holmberg did not know of this earlier culture—the culture that built the causeways and mounds and fish weirs. He didn’t see that the Sirion? were walking through a landscape that had been shaped by somebody else. A few European observers before Holmberg had remarked upon the earthworks’ existence, though some doubted that the causeways and forest islands were of human origin. But they did not draw systematic scholarly attention until 1961, when William Denevan came to Bolivia. Then a doctoral student, he had learned of the region’s peculiar landscape during an earlier stint as a cub reporter in Peru and thought it might make an interesting topic for his thesis. Upon arrival he discovered that oil-company geologists, the only scientists in the area, believed the Beni was thick with the remains of an unknown civilization. Convincing a local pilot to push his usual route westward, Denevan examined the Beni from above. He observed exactly what I saw four decades later: isolated hillocks of forest; long raised berms; canals; raised agricultural fields; circular, moat-like ditches; and odd, zigzagging ridges. “I’m looking out of one of these DC-3 windows, and I’m going berserk in this little airplane,” Denevan said to me. “I knew these things were not natural. You just don’t have that kind of straight line in nature.” As Denevan learned more about the landscape, his amazement grew. “It’s a completely humanized landscape,” he said. “To me, it was clearly the most exciting thing going on in the Amazon and adjacent areas. It may be the most important thing in all of South America, I think. Yet it was practically untouched” by scientists. It is still almost untouched—there aren’t even any detailed maps of the earthworks and canals. Beginning as much as three thousand years ago, this long-ago society—Erickson believes it was probably founded by the ancestors of an Arawak-speaking people now called the Mojo and the Baur?—created one of the largest, strangest, and most ecologically rich artificial environments on the planet. These people built up the mounds for homes and farms, constructed the causeways and canals for transportation and communication, created the fish weirs to feed themselves, and burned the savannas to keep them clear of invading trees. A thousand years ago their society was at its height. Their villages and towns were spacious, formal, and guarded by moats and palisades. In Erickson’s hypothetical reconstruction, as many as a million people may have walked the causeways of eastern Bolivia in their long cotton tunics, heavy ornaments dangling from their wrists and necks. Flying over eastern Bolivia in the early 1960s, the young geographer William Denevan was amazed to see that the landscape (bottom)—home to nothing but cattle ranches for generations—still bore evidence that it had once been inhabited by a large, prosperous society, one whose very existence had been forgotten. Incredibly, such discoveries are still being made. In 2002 and 2003, Finnish and Brazilian researchers revealed the remains of dozens of geometrical earthworks (top) in the western Brazilian state of Acre where the forest had just been cleared for cattle ranches. Today, hundreds of years after this Arawak culture passed from the scene, the forest on and around Ibibate mound looks like the classic Amazon of conservationists’ dreams: lianas thick as a human arm, dangling blade-like leaves more than six feet long, smooth-boled Brazil nut trees, thick-bodied flowers that smell like warm meat. In terms of species richness, Bal?e told me, the forest islands of Bolivia are comparable to any place in South America. The same is true of the Beni savanna, it seems, with its different complement of species. Ecologically, the region is a treasure, but one designed and executed by human beings. Erickson regards the landscape of the Beni as one of humankind’s greatest works of art, a masterpiece that until recently was almost completely unknown, a masterpiece in a place with a name that few people outside Bolivia would recognize. “EMPTY OF MANKIND AND ITS WORKS” The Beni was no anomaly. For almost five centuries, Holmberg’s Mistake—the supposition that Native Americans lived in an eternal, unhistoried state—held sway in scholarly work, and from there fanned out to high school textbooks, Hollywood movies, newspaper articles, environmental campaigns, romantic adventure books, and silk-screened T-shirts. It existed in many forms and was embraced both by those who hated Indians and those who admired them. Holmberg’s Mistake explained the colonists’ view of most Indians as incurably vicious barbarians; its mirror image was the dreamy stereotype of the Indian as a Noble Savage. Positive or negative, in both images Indians lacked what social scientists call agency—they were not actors in their own right, but passive recipients of whatever windfalls or disasters happenstance put in their way. The Noble Savage dates back as far as the first full-blown ethnography of American indigenous peoples, Bartolom? de Las Casas’s Apolog?tica Historia Sumaria, written mainly in the 1530s. Las Casas, a conquistador who repented of his actions and became a priest, spent the second half of his long life opposing European cruelty in the Americas. To his way of thinking, Indians were natural creatures who dwelt, gentle as cows, in the “terrestrial paradise.” In their prelapsarian innocence, he believed, they had been quietly waiting—waiting for millennia—for Christian instruction. Las Casas’s contemporary, the Italian commentator Pietro Martire d’Anghiera, shared these views. Indians, he wrote (I quote the English translation from 1556), “lyve in that goulden world of whiche owlde writers speake so much,” existing “simplye and innocentlye without inforcement of lawes.” In our day, beliefs about Indians’ inherent simplicity and innocence refer mainly to their putative lack of impact on the environment. This notion dates back at least to Henry David Thoreau, who spent much time seeking “Indian wisdom,” an indigenous way of thought that supposedly did not encompass measuring or categorizing, which he viewed as the evils that allowed human beings to change Nature. Thoreau’s ideas continue to be influential. In the wake of the first Earth Day in 1970, a group named Keep America Beautiful, Inc., put up billboards that portrayed an actor in Indian dress quietly weeping over polluted land. The campaign was enormously successful. For almost a decade the image of the crying Indian appeared around the world. Yet though Indians here were playing a heroic role, the advertisement still embodied Holmberg’s Mistake, for it implicitly depicted Indians as people who never changed their environment from its original wild state. Because history is change, they were people without history. Las Casas’s anti-Spanish views met with such harsh attacks that he instructed his executors to publish the Apolog?tica Historia forty years after his death (he died in 1566). In fact, the book did not appear in complete form until 1909. As the delay suggests, polemics for the Noble Savage tended to meet with little sympathy in the eighteenth and nineteenth centuries. Emblematic was the U.S. historian George Bancroft, dean of his profession, who argued in 1834 that before Europeans arrived North America was “an unproductive waste…Its only inhabitants were a few scattered tribes of feeble barbarians, destitute of commerce and of political connection.” Like Las Casas, Bancroft believed that Indians had existed in societies without change—except that Bancroft regarded this timelessness as an indication of sloth, not innocence. In different forms Bancroft’s characterization was carried into the next century. Writing in 1934, Alfred L. Kroeber, one of the founders of American anthropology, theorized that the Indians in eastern North America could not develop—could have no history—because their lives consisted of “warfare that was insane, unending, continuously attritional.” Escaping the cycle of conflict was “well-nigh impossible,” he believed. “The group that tried to shift its values from war to peace was almost certainly doomed to early extinction.” *1 Kroeber conceded that Indians took time out from fighting to grow crops, but insisted that agriculture “was not basic to life in the East; it was an auxiliary, in a sense a luxury.” As a result, “Ninety-nine per cent or more of what [land] might have been developed remained virgin.” Four decades later, Samuel Eliot Morison, twice a Pulitzer Prize winner, closed his two-volume European Discovery of America with the succinct claim that Indians had created no lasting monuments or institutions. Imprisoned in changeless wilderness, they were “pagans expecting short and brutish lives, void of any hope for the future.” Native people’s “chief function in history,” the British historian Hugh Trevor-Roper, Baron Dacre of Glanton, proclaimed in 1965, “is to show to the present an image of the past from which by history it has escaped.” Textbooks reflected academic beliefs faithfully. In a survey of U.S. history schoolbooks, the writer Frances Fitzgerald concluded that the characterization of Indians had moved, “if anything, resolutely backward” between the 1840s and the 1940s. Earlier writers thought of Indians as important, though uncivilized, but later books froze them into a formula: “lazy, childlike, and cruel.” A main textbook of the 1940s devoted only a “few paragraphs” to Indians, she wrote, “of which the last is headed ‘The Indians Were Backward.’” These views, though less common today, continue to appear. The 1987 edition of American History: A Survey, a standard high school textbook by three well-known historians, summed up Indian history thusly: “For thousands of centuries—centuries in which human races were evolving, forming communities, and building the beginnings of national civilizations in Africa, Asia, and Europe—the continents we know as the Americas stood empty of mankind and its works.” The story of Europeans in the New World, the book informed students, “is the story of the creation of a civilization where none existed.” It is always easy for those living in the present to feel superior to those who lived in the past. Alfred W. Crosby, a University of Texas historian, noted that many of the researchers who embraced Holmberg’s Mistake lived in an era when the driving force of events seemed to be great leaders of European descent and when white societies appeared to be overwhelming nonwhite societies everywhere. Throughout all of the nineteenth and much of the twentieth century, nationalism was ascendant, and historians identified history with nations, rather than with cultures, religions, or ways of life. But the Second World War taught the West that non-Westerners—the Japanese, in this instance—were capable of swift societal change. The rapid disintegration of European colonial empires further adumbrated the point. Crosby likened the effects of these events on social scientists to those on astronomers from “the discovery that the faint smudges seen between stars on the Milky Way were really distant galaxies.” Meanwhile, new disciplines and new technologies were creating new ways to examine the past. Demography, climatology, epidemiology, economics, botany, and palynology (pollen analysis); molecular and evolutionary biology; carbon-14 dating, ice-core sampling, satellite photography, and soil assays; genetic microsatellite analysis and virtual 3-D fly-throughs—a torrent of novel perspectives and techniques cascaded into use. And when these were employed, the idea that the only human occupants of one-third of the earth’s surface had changed little for thousands of years began to seem implausible. To be sure, some researchers have vigorously attacked the new findings as wild exaggerations. (“We have simply replaced the old myth [of untouched wilderness] with a new one,” scoffed geographer Thomas Vale, “the myth of the humanized landscape.”) But after several decades of discovery and debate, a new picture of the Americas and their original inhabitants is emerging. Advertisements still celebrate nomadic, ecologically pure Indians on horseback chasing bison in the Great Plains of North America, but at the time of Columbus the great majority of Native Americans could be found south of the R?o Grande. They were not nomadic, but built up and lived in some of the world’s biggest and most opulent cities. Far from being dependent on big-game hunting, most Indians lived on farms. Others subsisted on fish and shellfish. As for the horses, they were from Europe; except for llamas in the Andes, the Western Hemisphere had no beasts of burden. In other words, the Americas were immeasurably busier, more diverse, and more populous than researchers had previously imagined. And older, too. THE OTHER NEOLITHIC REVOLUTIONS For much of the last century archaeologists believed that Indians came to the Americas through the Bering Strait about thirteen thousand years ago at the tail end of the last Ice Age. Because the sheets of polar ice locked up huge amounts of water, sea levels around the world fell about three hundred feet. The shallow Bering Strait became a wide land bridge between Siberia and Alaska. In theory, paleo-Indians, as they are called, simply walked across the fifty-five miles that now separate the continents. C. Vance Haynes, an archaeologist at the University of Arizona, put the crowning touches on the scheme in 1964, when he noted evidence that at just the right time—that is, about thirteen thousand years ago—two great glacial sheets in northwest Canada parted, leaving a comparatively warm, ice-free corridor between them. Down this channel paleo-Indians could have passed from Alaska to the more habitable regions in the south without having to hike over the ice pack. At the time, the ice pack extended two thousand miles south of the Bering Strait and was almost devoid of life. Without Haynes’s ice-free corridor, it is hard to imagine how humans could have made it to the south. The combination of land bridge and ice-free corridor occurred only once in the last twenty thousand years, and lasted for just a few hundred years. And it happened just before the emergence of what was then the earliest known culture in the Americas, the Clovis culture, so named for the town in New Mexico where its remains were first definitely observed. Haynes’s exposition made the theory seem so ironclad that it fairly flew into the textbooks. I learned it when I attended high school. So did my son, thirty years later. In 1997 the theory abruptly came unglued. Some of its most ardent partisans, Haynes among them, publicly conceded that an archaeological dig in southern Chile had turned up compelling evidence of human habitation more than twelve thousand years ago. And because these people lived seven thousand miles south of the Bering Strait, a distance that presumably would have taken a long time to traverse, they almost certainly arrived before the ice-free corridor opened up. (In any case, new research had cast doubt on the existence of that corridor.) Given the near impossibility of surpassing the glaciers without the corridor, some archaeologists suggested that the first Americans must have arrived twenty thousand years ago, when the ice pack was smaller. Or even earlier than that—the Chilean site had suggestive evidence of artifacts more than thirty thousand years old. Or perhaps the first Indians traveled by boat, and didn’t need the land bridge. Or maybe they arrived via Australia, passing the South Pole. “We’re in a state of turmoil,” the consulting archaeologist Stuart Fiedel told me. “Everything we knew is now supposed to be wrong,” he added, exaggerating a little for effect. No consensus has emerged, but a growing number of researchers believe that the New World was occupied by a single small group that crossed the Bering Strait, got stuck on the Alaska side, and straggled to the rest of the Americas in two or three separate groups, with the ancestors of most modern Indians making up the second group. Researchers differ on the details; some scientists have theorized that the Americas may have been hit with as many as five waves of settlement before Columbus, with the earliest occurring as much as fifty thousand years ago. In most versions, though, today’s Indians are seen as relative latecomers. Indian activists dislike this line of reasoning. “I can’t tell you how many white people have told me that ‘science’ shows that Indians were just a bunch of interlopers,” Vine Deloria Jr., a political scientist at the University of Colorado at Boulder, said to me. Deloria is the author of many books, including Red Earth, White Lies, a critique of mainstream archaeology. The book’s general tenor is signaled by its index; under “science,” the entries include “corruption and fraud and,” “Indian explanations ignored by,” “lack of proof for theories of,” “myth of objectivity of,” and “racism of.” In Deloria’s opinion, archaeology is mainly about easing white guilt. Determining that Indians superseded other people fits neatly into this plan. “If we’re only thieves who stole our land from someone else,” Deloria said, “then they can say, ‘Well, we’re just the same. We’re all immigrants here, aren’t we?’” The moral logic of the we’re-all-immigrants argument that Deloria cites is difficult to parse; it seems to be claiming that two wrongs make a right. Moreover, there’s no evidence that the first “wrong” was a wrong—nothing is known about the contacts among the various waves of paleo-Indian migration. But in any case whether most of today’s Native Americans actually arrived first or second is irrelevant to an assessment of their cultural achievements. In every imaginable scenario, they left Eurasia before the first whisper of the Neolithic Revolution. The Neolithic Revolution is the invention of farming, an event whose significance can hardly be overstated. “The human career,” wrote the historian Ronald Wright, “divides in two: everything before the Neolithic Revolution and everything after it.” It began in the Middle East about eleven thousand years ago. In the next few millennia the wheel and the metal tool sprang up in the same area. The Sumerians put these inventions together, added writing, and in the third millennium B.C. created the first great civilization. Every European and Asian culture since, no matter how disparate in appearance, stands in Sumer’s shadow. Native Americans, who left Asia long before agriculture, missed out on the bounty. “They had to do everything on their own,” Crosby said to me. Remarkably, they succeeded. Researchers have long known that a second, independent Neolithic Revolution occurred in Mesoamerica. The exact timing is uncertain—archaeologists keep pushing back the date—but it is now thought to have occurred about ten thousand years ago, not long after the Middle East’s Neolithic Revolution. In 2003, though, archaeologists discovered ancient seeds from cultivated squashes in coastal Ecuador, at the foot of the Andes, which may be older than any agricultural remains in Mesoamerica—a third Neolithic Revolution. This Neolithic Revolution probably led, among many other things, to the cultures in the Beni. The two American Neolithics spread more slowly than their counterpart in Eurasia, possibly because Indians in many places had not had the time to build up the requisite population density, and possibly because of the extraordinary nature of the most prominent Indian crop, maize. *2 The ancestors of wheat, rice, millet, and barley look like their domesticated descendants; because they are both edible and highly productive, one can easily imagine how the idea of planting them for food came up. Maize can’t reproduce itself, because its kernels are securely wrapped in the husk, so Indians must have developed it from some other species. But there are no wild species that resemble maize. Its closest genetic relative is a mountain grass called teosinte that looks strikingly different—for one thing, its “ears” are smaller than the baby corn served in Chinese restaurants. No one eats teosinte, because it produces too little grain to be worth harvesting. In creating modern maize from this unpromising plant, Indians performed a feat so improbable that archaeologists and biologists have argued for decades over how it was achieved. Coupled with squash, beans, and avocados, maize provided Mesoamerica with a balanced diet, one arguably more nutritious than its Middle Eastern or Asian equivalent. (Andean agriculture, based on potatoes and beans, and Amazonian agriculture, based on manioc [cassava], had wide impact but on a global level were less important than maize.) About seven thousand years elapsed between the dawn of the Middle Eastern Neolithic and the establishment of Sumer. Indians navigated the same path in somewhat less time (the data are too sketchy to be more precise). Pride of place must go to the Olmec, the first technologically complex culture in the hemisphere. Appearing in the narrow “waist” of Mexico about 1800 B.C., they lived in cities and towns centered on temple mounds. Strewn among them were colossal male heads of stone, many six feet tall or more, with helmet-like headgear, perpetual frowns, and somewhat African features, the last of which has given rise to speculation that Olmec culture was inspired by voyagers from Africa. The Olmec were but the first of many societies that arose in Mesoamerica in this epoch. Most had religions that focused on human sacrifice, dark by contemporary standards, but their economic and scientific accomplishments were bright. They invented a dozen different systems of writing, established widespread trade networks, tracked the orbits of the planets, created a 365-day calendar (more accurate than its contemporaries in Europe), and recorded their histories in accordion-folded “books” of fig tree bark paper. Arguably their greatest intellectual feat was the invention of zero. In his classic account Number: The Language of Science, the mathematician Tobias Dantzig called the discovery of zero “one of the greatest single accomplishments of the human race,” a “turning point” in mathematics, science, and technology. The first whisper of zero in the Middle East occurred about 600 B.C. When tallying numbers, the Babylonians arranged them into columns, as children learn to do today. To distinguish between their equivalents to 11 and 101, they placed two triangular marks between the digits: 1 1, so to speak. (Because Babylonian mathematics was based on 60, rather than 10, the example is correct only in principle.) Curiously, though, they did not use the symbol to distinguish among their versions of 1, 10, and 100. Nor could the Babylonians add or subtract with zero, let alone use zero to enter the realm of negative numbers. Mathematicians in India first used zero in its contemporary sense—a number, not a placeholder—sometime in the first few centuries A.D. It didn’t appear in Europe until the twelfth century, when it came in with the Arabic numerals we use today (fearing fraud, some European governments banned the new numbers). Meanwhile, the first recorded zero in the Americas occurred in a Maya carving from 357 A.D., possibly before the Sanskrit. And there are monuments from before the birth of Christ that do not bear zeroes themselves but are inscribed with dates in a calendrical system based on the existence of zero. Does this mean that the Maya were then more advanced than their counterparts in, say, Europe? Social scientists flinch at this question, and with good reason. The Olmec, Maya, and other Mesoamerican societies were world pioneers in mathematics and astronomy—but they did not use the wheel. Amazingly, they had invented the wheel but did not employ it for any purpose other than children’s toys. Those looking for a tale of cultural superiority can find it in zero; those looking for failure can find it in the wheel. Neither line of argument is useful, though. What is most important is that by 1000 A.D. Indians had expanded their Neolithic revolutions to create a panoply of diverse civilizations across the hemisphere. Five hundred years later, when Columbus sailed into the Caribbean, the descendants of the world’s Neolithic Revolutions collided, with overwhelming consequences for all. A GUIDED TOUR Imagine, for a moment, an impossible journey: taking off in a plane from eastern Bolivia as I did, but doing so in 1000 A.D. and flying a surveillance mission over the rest of the Western Hemisphere. What would be visible from the windows? Fifty years ago, most historians would have given a simple answer to this question: two continents of wilderness, populated by scattered bands whose ways of life had changed little since the Ice Age. The sole exceptions would have been Mexico and Peru, where the Maya and the ancestors of the Inka were crawling toward the foothills of Civilization. Today our understanding is different in almost every perspective. Picture the millennial plane flying west, from the lowlands of the Beni to the heights of the Andes. On the ground beneath as the journey begins are the causeways and canals one sees today, except that they are now in good repair and full of people. (Fifty years ago, the earthworks were almost completely unknown, even to those living nearby.) After a few hundred miles the plane ascends to the mountains—and again the historical picture has changed. Until recently, researchers would have said the highlands in 1000 A.D. were occupied by scattered small villages and one or two big towns with some nice stonework. But recent archaeological investigations have revealed that at this time the Andes housed two mountain states, each much larger than previously appreciated. The state closest to the Beni was based around Lake Titicaca, the 120-mile-long alpine lake that crosses the Peru-Bolivia border. Most of this region has an altitude of twelve thousand feet or more. Summers are short; winters are correspondingly long. This “bleak, frigid land,” wrote the adventurer Victor von Hagen, “seemingly was the last place from which one might expect a culture to develop.” But in fact the lake is comparatively warm, and so the land surrounding it is less beaten by frost than the surrounding highlands. Taking advantage of the better climate, the village of Tiwanaku, one of many settlements around the lake, began after about 800 B.C. to drain the wetlands around the rivers that flowed into the lake from the south. A thousand years later the village had grown to become the center of a large polity, also known as Tiwanaku. NATIVE AMERICA, 1000 A.D. Less a centralized state than a clutch of municipalities under the common religio-cultural sway of the center, Tiwanaku took advantage of the extreme ecological differences among the Pacific coast, the rugged mountains, and the altiplano (the high plains) to create a dense web of exchange: fish from the sea; llamas from the altiplano; fruits, vegetables, and grains from the fields around the lake. Flush with wealth, Tiwanaku city swelled into a marvel of terraced pyramids and grand monuments. Stone breakwaters extended far out into Lake Titicaca, thronged with long-prowed boats made of reeds. With its running water, closed sewers, and gaudily painted walls, Tiwanaku was among the world’s most impressive cities. University of Chicago archaeologist Alan L. Kolata excavated at Tiwanaku during the 1980s and early 1990s. He has written that by 1000 A.D. the city had a population of as much as 115,000, with another quarter million in the surrounding countryside—numbers that Paris would not reach for another five centuries. The comparison seems fitting; at the time, the realm of Tiwanaku was about the size of modern France. Other researchers believe this population estimate is too high. Twenty or thirty thousand in the central city is more likely, according to Nicole Couture, a University of Chicago archaeologist who helped edit the definitive publication of Kolata’s work in 2003. An equal number, she said, occupied the surrounding countryside. Which view is right? Although Couture was confident of her ideas, she thought it would be “another decade” before the matter was settled. And in any case the exact number does not affect what she regards as the key point. “Building this enormous place up here is really remarkable,” she said. “I realize that again every time I come back.” North and west of Tiwanaku, in what is now southern Peru, was the rival state of Wari, which then ran for almost a thousand miles along the spine of the Andes. More tightly organized and military minded than Tiwanaku, the rulers of Wari stamped out cookie-cutter fortresses and stationed them all along their borders. The capital city—called, eponymously, Wari—was in the heights, near the modern city of Ayacucho. Housing perhaps seventy thousand souls, Wari was a dense, alley-packed craze of walled-off temples, hidden courtyards, royal tombs, and apartments up to six stories tall. Most of the buildings were sheathed in white plaster, making the city sparkle in the mountain sun. In 1000 A.D., at the time of our imaginary overflight, both societies were reeling from a succession of terrible droughts. Perhaps eighty years earlier, dust storms had engulfed the high plains, blackening the glaciers in the peaks above. (Ice samples, dug out in the 1990s, suggest the assault.) Then came a run of punishing dry spells, many more than a decade in duration, interrupted by gigantic floods. (Sediment and tree-ring records depict the sequence.) The disaster’s cause is still in dispute, but some climatologists believe that the Pacific is subject to “mega-Ni?o events,” murderously strong versions of the well-known El Ni?o patterns that play havoc with American weather today. Mega-Ni?os occurred every few centuries between 200 and 1600 A.D. In 1925 and 1926, a strong El Ni?o—not a mega-Ni?o, but one that was bigger than usual—blasted Amazonia with so much dry heat that sudden fires killed hundreds, perhaps thousands, of people in the forest. Rivers dried up, their bottoms carpeted with dead fish. A mega-Ni?o in the eleventh century may well have caused the droughts of those years. But whatever the cause of the climatic upheaval, it severely tested Wari and Tiwanaku society. Here, though, one must be careful. Europe was racked by a “little ice age” of extreme cold between the fourteenth and nineteenth centuries, yet historians rarely attribute the rise and fall of European states in that period to climate change. Fierce winters helped drive the Vikings from Greenland and led to bad harvests that exacerbated social tensions in continental Europe, but few would claim that the little ice age caused the Reformation. Similarly, the mega-Ni?os were but one of many stresses on Andean civilizations at the time, stresses that in their totality neither Wari nor Tiwanaku had the political resources to survive. Soon after 1000 A.D. Tiwanaku split into flinders that would not be united for another four centuries, when the Inka swept them up. Wari also fell. It was succeeded and perhaps taken over by a state called Chimor, which oversaw an empire that sprawled over central Peru until it, too, was absorbed by the Inka. Such newly discovered histories appear everywhere in the Americas. Take the plane north, toward Central America and southern Mexico, into the bulge of the Yucat?n Peninsula, homeland of the Maya. Maya ruins were well known forty years ago, to be sure, but among them, too, many new things have been discovered. Consider Calakmul, the ruin that Peter Menzel and I visited in the early 1980s. Almost wholly unexcavated since its discovery, the Calakmul we came to lay swathed in dry, scrubby vegetation that crawled like a swarm of thorns up its two huge pyramids. When Peter and I spoke to William J. Folan of the Universidad Aut?noma de Campeche, who was just beginning to work at the city, he recommended that we not try going to the ruin unless we could rent a heavy truck, and not even to try with the truck if it had rained. Our visit to Calakmul did nothing to suggest that Folan’s advice was wrong. Trees enveloped the great buildings, their roots slowly ripping apart the soft limestone walls. Peter photographed a monument with roots coiled around it, boa constrictor style, five or six feet high. So overwhelming was the tropical forest that I thought Calakmul’s history would remain forever unknown. Happily, I was wrong. By the early 1990s Folan’s team had learned that this long-ignored place covered as much as twenty-five square miles and had thousands of buildings and dozens of reservoirs and canals. It was the biggest-ever Maya polity. Researchers cleaned and photographed its hundred-plus monuments—and just in time, for epigraphers (scholars of ancient writing) had in the meantime deciphered Maya hieroglyphics. In 1994 they identified the city-state’s ancient name: Kaan, the Kingdom of the Snake. Six years later they discovered that Kaan was the focus of a devastating war that convulsed the Maya city-state for more than a century. And Kaan is just one of the score of Maya settlements that in the last few decades have been investigated for the first time. A collection of about five dozen kingdoms and city-states in a network of alliances and feuds as convoluted as those of seventeenth-century Germany, the Maya realm was home to one of the world’s most intellectually sophisticated cultures. About a century before our imaginary surveillance tour, though, the Maya heartland entered a kind of Dark Ages. Many of the greatest cities emptied, as did much of the countryside around them. Incredibly, some of the last inscriptions are gibberish, as if scribes had lost the knowledge of writing and were reduced to meaningless imitation of their ancestors. By the time of our overflight, half or more of what once had been the flourishing land of the Maya was abandoned. Some natural scientists attribute this collapse, close in time to that of Wari and Tiwanaku, to a massive drought. The Maya, packed by the millions into land poorly suited to intensive farming, were dangerously close to surpassing the capacity of their ecosystems. The drought, possibly caused by a mega-Ni?o, pushed the society, already so close to the edge, over the cliff. Such scenarios resonate with contemporary ecological fears, helping to make them popular outside the academy. Within the academy skepticism is more common. The archaeological record shows that southern Yucat?n was abandoned, while Maya cities in the northern part of the peninsula soldiered on or even grew. Peculiarly, the abandoned land was the wettest—with its rivers, lakes, and rainforest, it should have been the best place to wait out a drought. Conversely, northern Yucat?n was dry and rocky. The question is why people would have fled from drought to lands that would have been even more badly affected. And what of the rest of Mesoamerica? As the flight continues north, look west, at the hills of what are now the Mexican states of Oaxaca and Guerrero. Here are the quarrelsome city-states of the N? udzahui (Mixtec), finally overwhelming the Zapotec, their ancient rivals based in the valley city of Monte Alb?n. Further north, expanding their empire in a hot-brained hurry, are the Toltec, sweeping in every direction from the mile-high basin that today houses Mexico City. As is often the case, the Toltec’s rapid military success led to political strife. A Shakespearian struggle at the top, complete with accusations of drunkenness and incest, forced out the long-ruling king, Topiltzin Quetzalcoatl, in (probably) 987 A.D. He fled with boatloads of loyalists to the Yucat?n Peninsula, promising to return. By the time of our plane trip, Quetzalcoatl had apparently conquered the Maya city of Chich?n Itz? and was rebuilding it in his own Toltec image. (Prominent archaeologists disagree with each other about these events, but the murals and embossed plates at Chich?n Itz? that depict a Toltec army bloodily destroying a Maya force are hard to dismiss.) Continue the flight to what is now the U.S. Southwest, past desert farms and cliff dwellings, to the Mississippian societies in the Midwest. Not long ago archaeologists with new techniques unraveled the tragedy of Cahokia, near modern St. Louis, which was once the greatest population center north of the R?o Grande. Construction began in about 1000 A.D. on an earthen structure that would eventually cover fifteen acres and rise to a height of about a hundred feet, higher than anything around it for miles. Atop the mound was the temple for the divine kings, who arranged for the weather to favor agriculture. As if to lend them support, fields of maize rippled out from the mound almost as far as the eye could see. Despite this apparent evidence of their power, Cahokia’s rulers were setting themselves up for future trouble. By mining the forests upstream for firewood and floating the logs downriver to the city, they were removing ground cover and increasing the likelihood of catastrophic floods. When these came, as they later did, kings who gained their legitimacy from their claims to control the weather would face angry questioning from their subjects. Continue north, to the least settled land, the realm of hunters and gatherers. Portrayed in countless U.S. history books and Hollywood westerns, the Indians of the Great Plains are the most familiar to non-scholars. Demographically speaking, they lived in the hinterlands, remote and thinly settled; their lives were as far from Wari or Toltec lords as the nomads of Siberia were from the grandees of Beijing. Their material cultures were simpler, too—no writing, no stone plazas, no massive temples—though Plains groups did leave behind about fifty rings of rock that are reminiscent of Stonehenge. The relative lack of material goods has led some to regard these groups as exemplifying an ethic of living lightly on the land. Perhaps, but North America was a busy, talkative place. By 1000 A.D., trade relationships had covered the continent for more than a thousand years; mother-of-pearl from the Gulf of Mexico has been found in Manitoba, and Lake Superior copper in Louisiana. Or forgo the northern route altogether and fly the imaginary plane east from the Beni, toward the mouth of the Amazon. Immediately after the Beni, one encounters, in what is now the western Brazilian state of Acre, another society: a network of small villages associated with circular and square earthworks in patterns quite unlike those found in the Beni. Even less is known about these people; the remains of their villages were discovered only in 2003, after ranchers clearing the tropical forest uncovered them. According to the Finnish archaeologists who first described them, “it is obvious” that “relatively high population densities” were “quite common everywhere in the Amazonian lowlands.” The Finns here are summing up the belief of a new generation of researchers into the Amazon: the river was much more crowded in 1000 A.D. than it is now, especially in its lower half. Dense collections of villages thronged the bluffs that line the shore, with their people fishing in the river and farming the floodplains and sections of the uplands. Most important were the village orchards that marched back from the bluffs for miles. Amazonians practiced a kind of agro-forestry, farming with trees, unlike any kind of agriculture in Europe, Africa, or Asia. Not all the towns were small. Near the Atlantic was the chiefdom of Maraj?, based on an enormous island at the mouth of the river. Maraj?’s population, recently estimated at 100,000, may have been equaled or even surpassed by a still-nameless agglomeration of people six hundred miles upstream, at Santar?m, a pleasant town that today is sleeping off the effects of Amazonia’s past rubber and gold booms. The ancient inhabitation beneath and around the modern town has barely been investigated. Almost all that we know is that it was ideally located on a high bluff overlooking the mouth of the Tapaj?s, one of the Amazon’s biggest tributaries. On this bluff geographers and archaeologists in the 1990s found an area more than three miles long that was thickly covered with broken ceramics, much like Ibibate. According to William I. Woods, an archaeologist and geographer at the University of Kansas, the region could have supported as many as 400,000 inhabitants, at least in theory, making it one of the bigger population centers in the world. And so on. Western scholars have written histories of the world since at least the twelfth century. As children of their own societies, these early historians naturally emphasized the culture they knew best, the culture their readership most wanted to hear about. But over time they added the stories of other places in the world: chapters about China, India, Persia, Japan, and other places. Researchers tipped their hats to non-Western accomplishments in the sciences and arts. Sometimes the effort was grudging or minimal, but the vacant reaches in the human tale slowly contracted. One way to sum up the new scholarship is to say that it has begun, at last, to fill in one of the biggest blanks in history: the Western Hemisphere before 1492. It was, in the current view, a thriving, stunningly diverse place, a tumult of languages, trade, and culture, a region where tens of millions of people loved and hated and worshipped as people do everywhere. Much of this world vanished after Columbus, swept away by disease and subjugation. So thorough was the erasure that within a few generations neither conqueror nor conquered knew that this world had existed. Now, though, it is returning to view. It seems incumbent on us to take a look. PART ONE Numbers from Nowhere? ? Why Billington Survived THE FRIENDLY INDIAN On March 22, 1621, an official Native American delegation walked through what is now southern New England to negotiate with a group of foreigners who had taken over a recently deserted Indian settlement. At the head of the party was an uneasy triumvirate: Massasoit, the sachem (political-military leader) of the Wampanoag confederation, a loose coalition of several dozen villages that controlled most of southeastern Massachusetts; Samoset, sachem of an allied group to the north; and Tisquantum, a distrusted captive, whom Massasoit had reluctantly brought along as an interpreter. Massasoit was an adroit politician, but the dilemma he faced would have tested Machiavelli. About five years before, most of his subjects had fallen before a terrible calamity. Whole villages had been depopulated—indeed, the foreigners ahead now occupied one of the empty sites. It was all he could do to hold together the remnants of his people. Adding to his problems, the disaster had not touched the Wampanoag’s longtime enemies, the Narragansett alliance to the west. Soon, Massasoit feared, they would take advantage of the Wampanoag’s weakness and overrun them. Desperate threats require desperate countermeasures. In a gamble, Massasoit intended to abandon, even reverse, a long-standing policy. Europeans had been visiting New England for at least a century. Shorter than the natives, oddly dressed, and often unbearably dirty, the pallid foreigners had peculiar blue eyes that peeped out of the masks of bristly, animal-like hair that encased their faces. They were irritatingly garrulous, prone to fits of chicanery, and often surprisingly incompetent at what seemed to Indians like basic tasks. But they also made useful and beautiful goods—copper kettles, glittering colored glass, and steel knives and hatchets—unlike anything else in New England. Moreover, they would exchange these valuable items for cheap furs of the sort used by Indians as blankets. It was like happening upon a dingy kiosk that would swap fancy electronic goods for customers’ used socks—almost anyone would be willing to overlook the shopkeeper’s peculiarities. Over time, the Wampanoag, like other native societies in coastal New England, had learned how to manage the European presence. They encouraged the exchange of goods, but would only allow their visitors to stay ashore for brief, carefully controlled excursions. Those who overstayed their welcome were forcefully reminded of the limited duration of Indian hospitality. At the same time, the Wampanoag fended off Indians from the interior, preventing them from trading directly with the foreigners. In this way the shoreline groups put themselves in the position of classic middlemen, overseeing both European access to Indian products and Indian access to European products. Now Massasoit was visiting a group of British with the intent of changing the rules. He would permit the newcomers to stay for an unlimited time—provided they formally allied with the Wampanoag against the Narragansett. Tisquantum, the interpreter, had shown up alone at Massasoit’s home a year and a half before. He spoke fluent English, because he had lived for several years in Britain. But Massasoit didn’t trust him. He seems to have been in Massasoit’s eyes a man without anchor, out for himself. In a conflict, Tisquantum might even side with the foreigners. Massasoit had kept Tisquantum in a kind of captivity since his arrival, monitoring his actions closely. And he refused to use him to negotiate with the colonists until he had another, independent means of communication with them. That March Samoset—the third member of the triumvirate—appeared, having hitched a ride from his home in Maine on an English ship that was plying the coast. Not known is whether his arrival was due to chance or if Massasoit had asked him to come down because he had picked up a few English phrases by trading with the British. In any case, Massasoit first had sent Samoset, rather than Tisquantum, to the foreigners. Samoset had walked unaccompanied and unarmed into the circle of rude huts in which the British were living on March 17, 1621. The colonists saw a robust, erect-postured man wearing only a loincloth; his straight black hair was shaved in front but flowed down his shoulders behind. To their further amazement, this almost naked man greeted them in broken but understandable English. He left the next morning with a few presents. A day later he came back, accompanied by five “tall proper men”—the phrase is the colonist Edward Winslow’s—with three-inch black stripes painted down the middle of their faces. The two sides talked inconclusively, each warily checking out the other, for a few hours. Now, on the 22nd, Samoset showed up again at the foreigners’ ramshackle base, this time with Tisquantum in tow. Meanwhile Massasoit and the rest of the Indian company waited out of sight. Samoset and Tisquantum spoke with the colonists for about an hour. Perhaps they then gave a signal. Or perhaps Massasoit was simply following a prearranged schedule. In any case, he and the rest of the Indian party appeared without warning at the crest of a hill on the south bank of the creek that ran through the foreigners’ camp. Alarmed by Massasoit’s sudden entrance, the Europeans withdrew to the hill on the opposite bank, where they had emplaced their few cannons behind a half-finished stockade. A standoff ensued. Finally Winslow exhibited the decisiveness that later led to his selection as colony governor. Wearing a full suit of armor and carrying a sword, he waded through the stream and offered himself as a hostage. Tisquantum, who walked with him, served as interpreter. Massasoit’s brother took charge of Winslow and then Massasoit crossed the water himself, followed by Tisquantum and twenty of Massasoit’s men, all ostentatiously unarmed. The colonists took the sachem to an unfinished house and gave him some cushions to recline on. Both sides shared some of the foreigners’ homemade moonshine, then settled down to talk, Tisquantum translating. To the colonists, Massasoit could be distinguished from his subjects more by manner than by dress or ornament. He wore the same deerskin shawls and leggings and like his fellows had covered his face with bug-repelling oil and reddish-purple dye. Around his neck hung a pouch of tobacco, a long knife, and a thick chain of the prized white shell beads called wampum. In appearance, Winslow wrote afterward, he was “a very lusty man, in his best years, an able body, grave of countenance, and spare of speech.” The Europeans, who had barely survived the previous winter, were in much worse shape. Half of the original colony now lay underground beneath wooden markers painted with death’s heads; most of the survivors were malnourished. Their meeting was a critical moment in American history. The foreigners called their colony Plymouth; they themselves were the famous Pilgrims.*3 As schoolchildren learn, at that meeting the Pilgrims obtained the services of Tisquantum, usually known as “Squanto.” In the 1970s, when I attended high school, a popular history text was America: Its People and Values, by Leonard C. Wood, Ralph H. Gabriel, and Edward L. Biller. Nestled among colorful illustrations of colonial life was a succinct explanation of Tisquantum’s role: A friendly Indian named Squanto helped the colonists. He showed them how to plant corn and how to live on the edge of the wilderness. A soldier, Captain Miles Standish, taught the Pilgrims how to defend themselves against unfriendly Indians. My teacher explained that maize was unfamiliar to the Pilgrims and that Tisquantum had demonstrated the proper maize-planting technique—sticking the seed in little heaps of dirt, accompanied by beans and squash that would later twine themselves up the tall stalks. And he told the Pilgrims to fertilize the soil by burying fish alongside the maize seeds, a traditional native technique for producing a bountiful harvest. Following this advice, my teacher said, the colonists grew so much maize that it became the centerpiece of the first Thanksgiving. In our slipshod fashion, we students took notes. The story in America: Its People and Values isn’t wrong, so far as it goes. But the impression it gives is entirely misleading. Tisquantum was critical to the colony’s survival, contemporary scholars agree. He moved to Plymouth after the meeting and spent the rest of his life there. Just as my teacher said, Tisquantum told the colonists to bury several small fish in each maize hill, a procedure followed by European colonists for two centuries. Squanto’s teachings, Winslow concluded, led to “a good increase of Indian corn”—the difference between success and starvation. Winslow didn’t know that fish fertilizer may not have been an age-old Indian custom, but a recent invention—if it was an Indian practice at all. So little evidence has emerged of Indians fertilizing with fish that some archaeologists believe that Tisquantum actually picked up the idea from European farmers. The notion is not as ridiculous as it may seem. Tisquantum had learned English because British sailors had kidnapped him seven years before. To return to the Americas, he in effect had to escape twice—once from Spain, where his captors initially sold him into slavery, and once from England, to which he was smuggled from Spain, and where he served as a kind of living conversation piece at a rich man’s house. In his travels, Tisquantum stayed in places where Europeans used fish as fertilizer, a practice on the Continent since medieval times. Skipping over the complex course of Tisquantum’s life is understandable in a textbook with limited space. But the omission is symptomatic of the complete failure to consider Indian motives, or even that Indians might have motives. The alliance Massasoit negotiated with Plymouth was successful from the Wampanoag perspective, for it helped to hold off the Narragansett. But it was a disaster from the point of view of New England Indian society as a whole, for the alliance ensured the survival of Plymouth colony, which spearheaded the great wave of British immigration to New England. All of this was absent not only from my high school textbooks, but from the academic accounts they were based on. This variant of Holmberg’s Mistake dates back to the Pilgrims themselves, who ascribed the lack of effective native resistance to the will of God. “Divine providence,” the colonist Daniel Gookin wrote, favored “the quiet and peaceable settlement of the English.” Later writers tended to attribute European success not to European deities but to European technology. In a contest where only one side had rifles and cannons, historians said, the other side’s motives were irrelevant. By the end of the nineteenth century, the Indians of the Northeast were thought of as rapidly fading background details in the saga of the rise of the United States—“marginal people who were losers in the end,” as James Axtell of the College of William and Mary dryly put it in an interview. Vietnam War–era denunciations of the Pilgrims as imperialist or racist simply replicated the error in a new form. Whether the cause was the Pilgrim God, Pilgrim guns, or Pilgrim greed, native losses were foreordained; Indians could not have stopped colonization, in this view, and they hardly tried. Beginning in the 1970s, Axtell, Neal Salisbury, Francis Jennings, and other historians grew dissatisfied with this view. “Indians were seen as trivial, ineffectual patsies,” Salisbury, a historian at Smith College, told me. “But that assumption—a whole continent of patsies—simply didn’t make sense.” These researchers tried to peer through the colonial records to the Indian lives beneath. Their work fed a tsunami of inquiry into the interactions between natives and newcomers in the era when they faced each other as relative equals. “No other field in American history has grown as fast,” marveled Joyce Chaplin, a Harvard historian, in 2003. The fall of Indian societies had everything to do with the natives themselves, researchers argue, rather than being religiously or technologically determined. (Here the claim is not that indigenous cultures should be blamed for their own demise but that they helped to determine their own fates.) “When you look at the historical record, it’s clear that Indians were trying to control their own destinies,” Salisbury said. “And often enough they succeeded”—only to learn, as all peoples do, that the consequences were not what they expected. This chapter and the next will explore how two different Indian societies, the Wampanoag and the Inka, reacted to the incursions from across the sea. It may seem odd that a book about Indian life before contact should devote space to the period after contact, but there are reasons for it. First, colonial descriptions of Native Americans are among the few glimpses we have of Indians whose lives were not shaped by the presence of Europe. The accounts of the initial encounters between Indians and Europeans are windows into the past, even if the glass is smeared and distorted by the chroniclers’ prejudices and misapprehensions. Second, although the stories of early contact—the Wampanoag with the British, the Inka with the Spanish—are as dissimilar as their protagonists, many archaeologists, anthropologists, and historians have recently come to believe that they have deep commonalities. And the tales of other Indians’ encounters with the strangers were alike in the same way. From these shared features, researchers have constructed what might be thought of as a master narrative of the meeting of Europe and America. Although it remains surprisingly little known outside specialist circles, this master narrative illuminates the origins of every nation in the Americas today. More than that, the effort to understand events after Columbus shed unexpected light on critical aspects of life before Columbus. Indeed, the master narrative led to such surprising conclusions about Native American societies before the arrival of Europeans that it stirred up an intellectual firestorm. COMING OF AGE IN THE DAWNLAND Consider Tisquantum, the “friendly Indian” of the textbook. More than likely Tisquantum was not the name he was given at birth. In that part of the Northeast, tisquantum referred to rage, especially the rage of manitou, the world-suffusing spiritual power at the heart of coastal Indians’ religious beliefs. When Tisquantum approached the Pilgrims and identified himself by that sobriquet, it was as if he had stuck out his hand and said, Hello, I’m the Wrath of God. No one would lightly adopt such a name in contemporary Western society. Neither would anyone in seventeenth-century indigenous society. Tisquantum was trying to project something. Tisquantum was not an Indian. True, he belonged to that category of people whose ancestors had inhabited the Western Hemisphere for thousands of years. And it is true that I refer to him as an Indian, because the label is useful shorthand; so would his descendants, and for much the same reason. But “Indian” was not a category that Tisquantum himself would have recognized, any more than the inhabitants of the same area today would call themselves “Western Hemisphereans.” Still less would Tisquantum have claimed to belong to “Norumbega,” the label by which most Europeans then referred to New England. (“New England” was coined only in 1616.) As Tisquantum’s later history made clear, he regarded himself first and foremost as a citizen of Patuxet, a shoreline settlement halfway between what is now Boston and the beginning of Cape Cod. Patuxet was one of the dozen or so settlements in what is now eastern Massachusetts and Rhode Island that comprised the Wampanoag confederation. In turn, the Wampanoag were part of a tripartite alliance with two other confederations: the Nauset, which comprised some thirty groups on Cape Cod; and the Massachusett, several dozen villages clustered around Massachusetts Bay. All of these people spoke variants of Massachusett, a member of the Algonquian language family, the biggest in eastern North America at the time. (Massachusett thus was the name both of a language and of one of the groups that spoke it.) In Massachusett, the name for the New England shore was the Dawnland, the place where the sun rose. The inhabitants of the Dawnland were the People of the First Light. MASSACHUSETT ALLIANCE, 1600 A.D. Ten thousand years ago, when Indians in Mesoamerica and Peru were inventing agriculture and coalescing into villages, New England was barely inhabited, for the excellent reason that it had been covered until relatively recently by an ice sheet a mile thick. People slowly moved in, though the area long remained cold and uninviting, especially along the coastline. Because rising sea levels continually flooded the shore, marshy Cape Cod did not fully lock into its contemporary configuration until about 1000 B.C. By that time the Dawnland had evolved into something more attractive: an ecological crazy quilt of wet maple forests, shellfish-studded tidal estuaries, thick highland woods, mossy bogs full of cranberries and orchids, fractally complex snarls of sandbars and beachfront, and fire-swept stands of pitch pine—“tremendous variety even within the compass of a few miles,” as the ecological historian William Cronon put it. In the absence of written records, researchers have developed techniques for teasing out evidence of the past. Among them is “glottochronology,” the attempt to estimate how long ago two languages separated from a common ancestor by evaluating their degree of divergence on a list of key words. In the 1970s and 1980s linguists applied glottochronological techniques to the Algonquian dictionaries compiled by early colonists. However tentatively, the results indicated that the various Algonquian languages in New England all date back to a common ancestor that appeared in the Northeast a few centuries before Christ. The ancestral language may derive from what is known as the Hopewell culture. Around two thousand years ago, Hopewell jumped into prominence from its bases in the Midwest, establishing a trade network that covered most of North America. The Hopewell culture introduced monumental earthworks and, possibly, agriculture to the rest of the cold North. Hopewell villages, unlike their more egalitarian neighbors, were stratified, with powerful, priestly rulers commanding a mass of commoners. Archaeologists have found no evidence of large-scale warfare at this time, and thus suggest that Hopewell probably did not achieve its dominance by conquest. Instead, one can speculate, the vehicle for transformation may have been Hopewell religion, with its intoxicatingly elaborate funeral rites. If so, the adoption of Algonquian in the Northeast would mark an era of spiritual ferment and heady conversion, much like the time when Islam rose and spread Arabic throughout the Middle East. Hopewell itself declined around 400 A.D. But its trade network remained intact. Shell beads from Florida, obsidian from the Rocky Mountains, and mica from Tennessee found their way to the Northeast. Borrowing technology and ideas from the Midwest, the nomadic peoples of New England transformed their societies. By the end of the first millennium A.D., agriculture was spreading rapidly and the region was becoming an unusual patchwork of communities, each with its preferred terrain, way of subsistence, and cultural style. Scattered about the many lakes, ponds, and swamps of the cold uplands were small, mobile groups of hunters and gatherers—“collectors,” as researchers sometimes call them. Most had recently adopted agriculture or were soon to do so, but it was still a secondary source of food, a supplement to the wild products of the land. New England’s major river valleys, by contrast, held large, permanent villages, many nestled in constellations of suburban hamlets and hunting camps. Because extensive fields of maize, beans, and squash surrounded every home, these settlements sprawled along the Connecticut, Charles, and other river valleys for miles, one town bumping up against the other. Along the coast, where Tisquantum and Massasoit lived, villages often were smaller and looser, though no less permanent. Unlike the upland hunters, the Indians on the rivers and coastline did not roam the land; instead, most seem to have moved between a summer place and a winter place, like affluent snowbirds alternating between Manhattan and Miami. The distances were smaller, of course; shoreline families would move a fifteen-minute walk inland, to avoid direct exposure to winter storms and tides. Each village had its own distinct mix of farming and foraging—this one here, adjacent to a rich oyster bed, might plant maize purely for variety, whereas that one there, just a few miles away, might subsist almost entirely on its harvest, filling great underground storage pits each fall. Although these settlements were permanent, winter and summer alike, they often were not tightly knit entities, with houses and fields in carefully demarcated clusters. Instead people spread themselves through estuaries, sometimes grouping into neighborhoods, sometimes with each family on its own, its maize ground proudly separate. Each community was constantly “joining and splitting like quicksilver in a fluid pattern within its bounds,” wrote Kathleen J. Bragdon, an anthropologist at the College of William and Mary—a type of settlement, she remarked, with “no name in the archaeological or anthropological literature.” In the Wampanoag confederation, one of these quicksilver communities was Patuxet, where Tisquantum was born at the end of the sixteenth century. Tucked into the great sweep of Cape Cod Bay, Patuxet sat on a low rise above a small harbor, jigsawed by sandbars and shallow enough that children could walk from the beach hundreds of yards into the water before the waves went above their heads. To the west, maize hills marched across the sandy hillocks in parallel rows. Beyond the fields, a mile or more away from the sea, rose a forest of oak, chestnut, and hickory, open and park-like, the underbrush kept down by expert annual burning. “Pleasant of air and prospect,” as one English visitor described the area, Patuxet had “much plenty both of fish and fowl every day in the year.” Runs of spawning Atlantic salmon, short-nose sturgeon, striped bass, and American shad annually filled the harbor. But the most important fish harvest came in late spring, when the herring-like alewives swarmed the fast, shallow stream that cut through the village. So numerous were the fish, and so driven, that when mischievous boys walled off the stream with stones the alewives would leap the barrier—silver bodies gleaming in the sun—and proceed upstream. Tisquantum’s childhood wetu (home) was formed from arched poles lashed together into a dome that was covered in winter by tightly woven rush mats and in summer by thin sheets of chestnut bark. A fire burned constantly in the center, the smoke venting through a hole in the center of the roof. English visitors did not find this arrangement peculiar; chimneys were just coming into use in Britain, and most homes there, including those of the wealthy, were still heated by fires beneath central roof holes. Nor did the English regard the Dawnland wetu as primitive; its multiple layers of mats, which trapped insulating layers of air, were “warmer than our English houses,” sighed the colonist William Wood. The wetu was less leaky than the typical English wattle-and-daub house, too. Wood did not conceal his admiration for the way Indian mats “deny entrance to any drop of rain, though it come both fierce and long.” Around the edge of the house were low beds, sometimes wide enough for a whole family to sprawl on them together; usually raised about a foot from the floor, platform-style; and always piled with mats and furs. Going to sleep in the firelight, young Tisquantum would have stared up at the diddering shadows of the hemp bags and bark boxes hanging from the rafters. Voices would skirl up in the darkness: one person singing a lullaby, then another person, until everyone was asleep. In the morning, when he woke, big, egg-shaped pots of corn-and-bean mash would be on the fire, simmering with meat, vegetables, or dried fish to make a slow-cooked dinner stew. Outside the wetu he would hear the cheerful thuds of the large mortars and pestles in which women crushed dried maize into nokake, a flour-like powder “so sweet, toothsome, and hearty,” colonist Gookin wrote, “that an Indian will travel many days with no other but this meal.” Although Europeans bemoaned the lack of salt in Indian cuisine, they thought it nourishing. According to one modern reconstruction, Dawnland diets at the time averaged about 2,500 calories a day, better than those usual in famine-racked Europe. In the wetu, wide strips of bark are clamped between arched inner and outer poles. Because the poles are flexible, bark layers can be sandwiched in or removed at will, depending on whether the householder wants to increase insulation during the winter or let in more air during the summer. In its elegant simplicity, the wetu’s design would have pleased the most demanding modernist architect. Pilgrim writers universally reported that Wampanoag families were close and loving—more so than English families, some thought. Europeans in those days tended to view children as moving straight from infancy to adulthood around the age of seven, and often thereupon sent them out to work. Indian parents, by contrast, regarded the years before puberty as a time of playful development, and kept their offspring close by until marriage. (Jarringly, to the contemporary eye, some Pilgrims interpreted this as sparing the rod.) Boys like Tisquantum explored the countryside, swam in the ponds at the south end of the harbor, and played a kind of soccer with a small leather ball; in the summer and fall they camped out in huts in the fields, weeding the maize and chasing away birds. Archery practice began at age two. By adolescence boys would make a game of shooting at each other and dodging the arrows. The primary goal of Dawnland education was molding character. Men and women were expected to be brave, hardy, honest, and uncomplaining. Chatterboxes and gossips were frowned upon. “He that speaks seldom and opportunely, being as good as his word, is the only man they love,” Wood explained. Character formation began early, with family games of tossing naked children into the snow. (They were pulled out quickly and placed next to the fire, in a practice reminiscent of Scandinavian saunas.) When Indian boys came of age, they spent an entire winter alone in the forest, equipped only with a bow, a hatchet, and a knife. These methods worked, the awed Wood reported. “Beat them, whip them, pinch them, punch them, if [the Indians] resolve not to flinch for it, they will not.” Tisquantum’s regimen was probably tougher than that of his friends, according to Salisbury, the Smith College historian, for it seems that he was selected to become a pniese, a kind of counselor-bodyguard to the sachem. To master the art of ignoring pain, future pniese had to subject themselves to such miserable experiences as running barelegged through brambles. And they fasted often, to learn self-discipline. After spending their winter in the woods, pniese candidates came back to an additional test: drinking bitter gentian juice until they vomited, repeating this bulimic process over and over until, near fainting, they threw up blood. Patuxet, like its neighboring settlements, was governed by a sachem, who upheld the law, negotiated treaties, controlled foreign contacts, collected tribute, declared war, provided for widows and orphans, and allocated farmland when there were disputes over it. (Dawnlanders lived in a loose scatter, but they knew which family could use which land—“very exact and punctuall,” Roger Williams, founder of Rhode Island colony, called Indian care for property lines.) Most of the time, the Patuxet sachem owed fealty to the great sachem in the Wampanoag village to the southwest, and through him to the sachems of the allied confederations of the Nauset in Cape Cod and the Massachusett around Boston. Meanwhile, the Wampanoag were rivals and enemies of the Narragansett and Pequots to the west and the many groups of Abenaki to the north. As a practical matter, sachems had to gain the consent of their people, who could easily move away and join another sachemship. Analogously, the great sachems had to please or bully the lesser, lest by the defection of small communities they lose stature. Sixteenth-century New England housed 100,000 people or more, a figure that was slowly increasing. Most of those people lived in shoreline communities, where rising numbers were beginning to change agriculture from an option to a necessity. These bigger settlements required more centralized administration; natural resources like good land and spawning streams, though not scarce, now needed to be managed. In consequence, boundaries between groups were becoming more formal. Sachems, given more power and more to defend, pushed against each other harder. Political tensions were constant. Coastal and riverine New England, according to the archaeologist and ethnohistorian Peter Thomas, was “an ever-changing collage of personalities, alliances, plots, raids and encounters which involved every Indian [settlement].” Armed conflict was frequent but brief and mild by European standards. The casus belli was usually the desire to avenge an insult or gain status, not the wish for conquest. Most battles consisted of lightning guerrilla raids by ad hoc companies in the forest: flash of black-and-yellow-striped bows behind trees, hiss and whip of stone-tipped arrows through the air, eruption of angry cries. Attackers slipped away as soon as retribution had been exacted. Losers quickly conceded their loss of status. Doing otherwise would have been like failing to resign after losing a major piece in a chess tournament—a social irritant, a waste of time and resources. Women and children were rarely killed, though they were sometimes abducted and forced to join the winning group. Captured men were often tortured (they were admired, though not necessarily spared, if they endured the pain stoically). Now and then, as a sign of victory, slain foes were scalped, much as British skirmishes with the Irish sometimes finished with a parade of Irish heads on pikes. In especially large clashes, adversaries might meet in the open, as in European battlefields, though the results, Roger Williams noted, were “farre less bloudy, and devouring then the cruell Warres of Europe.” Nevertheless, by Tisquantum’s time defensive palisades were increasingly common, especially in the river valleys. Inside the settlement was a world of warmth, family, and familiar custom. But the world outside, as Thomas put it, was “a maze of confusing actions and individuals fighting to maintain an existence in the shadow of change.” And that was before the Europeans showed up. TOURISM AND TREACHERY British fishing vessels may have reached Newfoundland as early as the 1480s and areas to the south soon after. In 1501, just nine years after Columbus’s first voyage, the Portuguese adventurer Gaspar Corte-Real abducted fifty-odd Indians from Maine. Examining the captives, Corte-Real found to his astonishment that two were wearing items from Venice: a broken sword and two silver rings. As James Axtell has noted, Corte-Real probably was able to kidnap such a large number of people only because the Indians were already so comfortable dealing with Europeans that big groups willingly came aboard his ship. *4 The earliest written description of the People of the First Light was by Giovanni da Verrazzano, an Italian mariner-for-hire commissioned by the king of France in 1523 to discover whether one could reach Asia by rounding the Americas to the north. Sailing north from the Carolinas, he observed that the coastline everywhere was “densely populated,” smoky with Indian bonfires; he could sometimes smell the burning hundreds of miles away. The ship anchored in wide Narragansett Bay, near what is now Providence, Rhode Island. Verrazzano was one of the first Europeans the natives had seen, perhaps even the first, but the Narragansett were not intimidated. Almost instantly, twenty long canoes surrounded the visitors. Cocksure and graceful, the Narragansett sachem leapt aboard: a tall, longhaired man of about forty with multicolored jewelry dangling about his neck and ears, “as beautiful of stature and build as I can possibly describe,” Verrazzano wrote. His reaction was common. Time and time again Europeans described the People of the First Light as strikingly healthy specimens. Eating an incredibly nutritious diet, working hard but not broken by toil, the people of New England were taller and more robust than those who wanted to move in—“as proper men and women for feature and limbes as can be founde,” in the words of the rebellious Pilgrim Thomas Morton. Because famine and epidemic disease had been rare in the Dawnland, its inhabitants had none of the pox scars or rickety limbs common on the other side of the Atlantic. Native New Englanders, in William Wood’s view, were “more amiable to behold (though [dressed] only in Adam’s finery) than many a compounded fantastic [English dandy] in the newest fashion.” The Pilgrims were less sanguine about Indians’ multicolored, multitextured mode of self-presentation. To be sure, the newcomers accepted the practicality of deerskin robes as opposed to, say, fitted British suits. And the colonists understood why natives’ skin and hair shone with bear or eagle fat (it warded off sun, wind, and insects). And they could overlook the Indians’ practice of letting prepubescent children run about without a stitch on. But the Pilgrims, who regarded personal adornment as a species of idolatry, were dismayed by what they saw as the indigenous penchant for foppery. The robes were adorned with animal-head mantles, snakeskin belts, and bird-wing headdresses. Worse, many Dawnlanders tattooed their faces, arms, and legs with elaborate geometric patterns and totemic animal symbols. They wore jewelry made of shell and swans’-down earrings and chignons spiked with eagle feathers. If that weren’t enough, both sexes painted their faces red, white, and black—ending up, Gookin sniffed, with “one part of their face of one color; and another, of another, very deformedly.” In 1585–86 the artist John White spent fifteen months in what is now North Carolina, returning with more than seventy watercolors of American people, plants, and animals. White’s work, later distributed in a series of romanticized engravings (two of which are shown here), was not of documentary quality by today’s standards—his Indians are posed like Greek statues. But at the same time his intent was clear. To his eye, the people of the Carolinas, cultural cousins to the Wampanoag, were in superb health, especially compared to poorly nourished, smallpox-scarred Europeans. And they lived in what White viewed as well-ordered settlements, with big, flourishing fields of maize. And the hair! As a rule, young men wore it long on one side, in an equine mane, but cropped the other side short, which prevented it from getting tangled in their bow strings. But sometimes they cut their hair into such wild patterns that attempting to imitate them, Wood sniffed, “would torture the wits of a curious barber.” Tonsures, pigtails, head completely shaved but for a single forelock, long sides drawn into a queue with a raffish short-cut roach in the middle—all of it was prideful and abhorrent to the Pilgrims. (Not everyone in England saw it that way. Inspired by asymmetrical Indian coiffures, seventeenth-century London blades wore long, loose hanks of hair known as “lovelocks.”) As for the Indians, evidence suggests that they tended to view Europeans with disdain as soon as they got to know them. The Wendat (Huron) in Ontario, a chagrined missionary reported, thought the French possessed “little intelligence in comparison to themselves.” Europeans, Indians told other Indians, were physically weak, sexually untrustworthy, atrociously ugly, and just plain smelly. (The British and French, many of whom had not taken a bath in their entire lives, were amazed by the Indian interest in personal cleanliness.) A Jesuit reported that the “savages” were disgusted by handkerchiefs: “They say, we place what is unclean in a fine white piece of linen, and put it away in our pockets as something very precious, while they throw it upon the ground.” The Mi’kmaq in New Brunswick and Nova Scotia scoffed at the notion of European superiority. If Christian civilization was so wonderful, why were its inhabitants all trying to settle somewhere else? For fifteen days Verrazzano and his crew were the Narragansett’s honored guests—though the Indians, Verrazzano admitted, kept their women out of sight after hearing the sailors’ “irksome clamor” when females came into view. Much of the time was spent in friendly barter. To the Europeans’ confusion, their steel and cloth did not interest the Narragansett, who wanted to swap only for “little bells, blue crystals, and other trinkets to put in the ear or around the neck.” On Verrazzano’s next stop, the Maine coast, the Abenaki did want steel and cloth—demanded them, in fact. But up north the friendly welcome had vanished. The Indians denied the visitors permission to land; refusing even to touch the Europeans, they passed goods back and forth on a rope over the water. As soon as the crew members sent over the last items, the locals began “showing their buttocks and laughing.” Mooned by the Indians! Verrazzano was baffled by this “barbarous” behavior, but the reason for it seems clear: unlike the Narragansett, the Abenaki had long experience with Europeans. PEOPLES OF THE DAWNLAND, 1600 A.D. During the century after Verrazzano Europeans were regular visitors to the Dawnland, usually fishing, sometimes trading, occasionally kidnapping natives as souvenirs. (Verrazzano had grabbed one himself, a boy of about eight.) By 1610 Britain alone had about two hundred vessels operating off Newfoundland and New England; hundreds more came from France, Spain, Portugal, and Italy. With striking uniformity, these travelers reported that New England was thickly settled and well defended. In 1605 and 1606 Samuel de Champlain, the famous explorer, visited Cape Cod, hoping to establish a French base. He abandoned the idea. Too many people already lived there. A year later Sir Ferdinando Gorges—British, despite the name—tried to found a community in Maine. It began with more people than the Pilgrims’ later venture in Plymouth and was better organized and supplied. Nonetheless, the local Indians, numerous and well armed, killed eleven colonists and drove the rest back home within months. Many ships anchored off Patuxet. Martin Pring, a British trader, camped there with a crew of forty-four for seven weeks in the summer of 1603, gathering sassafras—the species was common in the cleared, burned-over areas at the edge of Indian settlements. To ingratiate themselves with their hosts, Pring’s crew regularly played the guitar for them (the Indians had drums, flutes, and rattles, but no string instruments). Despite the entertainment, the Patuxet eventually got tired of the foreigners camping out on their land. Giving their guests a subtle hint that they should be moving on, 140 armed locals surrounded their encampment. Next day the Patuxet burned down the woodlands where Pring and his men were working. The foreigners left within hours. Some two hundred Indians watched them from the shore, politely inviting them to come back for another short visit. Later Champlain, too, stopped at Patuxet, but left before wearing out his welcome. Tisquantum probably saw Pring, Champlain, and other European visitors, but the first time Europeans are known to have affected his life was in the summer of 1614. A small ship hove to, sails a-flap. Out to meet the crew came the Patuxet. Almost certainly the sachem would have been of the party; he would have been accompanied by his pniese, including Tisquantum. The strangers’ leader was a sight beyond belief: a stocky man, even shorter than most foreigners, with a voluminous red beard that covered so much of his face that he looked to Indian eyes more beast than human. This was Captain John Smith of Pocahontas fame. According to Smith, he had lived an adventurous and glamorous life. As a youth, he claimed, he had served as a privateer, after which he was captured and enslaved by the Turks. He escaped and awarded himself the rank of captain in the army of Smith. *5 Later he actually became captain of a ship and traveled to North America several times. On this occasion he had sailed to Maine with two ships, intending to hunt whales. The party spent two months chasing the beasts but failed to catch a single one. Plan B, Smith wrote later, was “Fish and Furs.” He assigned most of the crew to catch and dry fish in one ship while he puttered up and down the coast with the other, bartering for furs. In the middle of this perambulating he showed up in Patuxet. Despite Smith’s peculiar appearance, Tisquantum and his fellows treated him well. They apparently gave him a tour, during which he admired the gardens, orchards, and maize fields, and the “great troupes of well-proportioned people” tending them. At some point a quarrel occurred and bows were drawn, Smith said, “fortie or fiftie” Patuxet surrounding him. His account is vague, but one imagines that the Indians were hinting at a limit to his stay. In any case, the visit ended cordially enough, and Smith returned to Maine and then England. He had a map drawn of what he had seen, persuaded Prince Charles to look at it, and curried favor with him by asking him to award British names to all the Indian settlements. Then he put the maps in the books he wrote to extol his adventures. In this way Patuxet acquired its English name, Plymouth, after the city in England (it was then spelled “Plimoth”). Smith left his lieutenant, Thomas Hunt, behind in Maine to finish loading the other ship with dried fish. Without consulting Smith, Hunt decided to visit Patuxet. Taking advantage of the Indians’ recent good experience with English visitors, he invited people to come aboard. The thought of a summer day on the foreigners’ vessel must have been tempting. Several dozen villagers, Tisquantum among them, canoed to the ship. Without warning or pretext the sailors tried to shove them into the hold. The Indians fought back. Hunt’s men swept the deck with small-arms fire, creating “a great slaughter.” At gunpoint, Hunt forced the survivors belowdecks. With Tisquantum and at least nineteen others, he sailed to Europe, stopping only once, at Cape Cod, where he kidnapped seven Nauset. In Hunt’s wake the Patuxet community raged, as did the rest of the Wampanoag confederacy and the Nauset. The sachems vowed not to let foreigners rest on their shores again. Because of the “worthlesse” Hunt, lamented Gorges, the would-be colonizer of Maine, “a warre [was] now new begunne between the inhabitants of those parts, and us.” Despite European guns, the Indians’ greater numbers, entrenched positions, knowledge of the terrain, and superb archery made them formidable adversaries. About two years after Hunt’s offenses, a French ship wrecked at the tip of Cape Cod. Its crew built a rude shelter with a defensive wall made from poles. The Nauset, hidden outside, picked off the sailors one by one until only five were left. They captured the five and sent them to groups victimized by European kidnappers. Another French vessel anchored in Boston Harbor at about the same time. The Massachusett killed everyone aboard and set the ship afire. Tisquantum was away five years. When he returned, everything had changed—calamitously. Patuxet had vanished. The Pilgrims had literally built their village on top of it. THE PLACE OF THE SKULL According to family lore, my great-grandmother’s great-grandmother’s great-grandfather was the first white person hanged in North America. His name was John Billington. He emigrated aboard the Mayflower, which anchored off the coast of Massachusetts on November 9, 1620. Billington was not among the company of saints, to put it mildly; within six months of arrival he became the first white person in America to be tried for sassing the police. His two sons were no better. Even before landing, one nearly blew up the Mayflower by shooting a gun at a keg of gunpowder while inside the ship. After the Pilgrims landed the other son ran off to live with some nearby Indians, leading to great consternation and an expedition to fetch him back. Meanwhile Billington p?re made merry with other non-Puritan lowlifes and haphazardly plotted against authority. The family was “one of the profanest” in Plymouth colony, complained William Bradford, its long-serving governor. Billington, in his opinion, was “a knave, and so shall live and die.” What one historian called Billington’s “troublesome career” ended in 1630 when he was hanged for shooting somebody in a quarrel. My family has always claimed that he was framed—but we would say that, wouldn’t we? Growing up, I was always tickled by this raffish personal connection to history: part of the Puritans, but not actually puritanical. As an adult, I decided to learn more about Billington. A few hours at the library sufficed to convince me that some aspects of our agreeable family legend were untrue. Although Billington was in fact hanged, at least two other Europeans were executed in North America before him. And one of them was convicted for the much more interesting offense of killing his pregnant wife and eating her. My ancestor was probably only No. 3, and there is a whisper of scholarly doubt about whether he deserves to be even that high on the list. I had learned about Plymouth in school. But it was not until I was poking through the scattered references to Billington that it occurred to me that my ancestor, like everyone else in the colony, had voluntarily enlisted in a venture that had him arriving in New England without food or shelter six weeks before winter. Not only that, he joined a group that, so far as is known, set off with little idea of where it was heading. In Europe, the Pilgrims had refused to hire the experienced John Smith as a guide, on the theory that they could use the maps in his book. In consequence, as Smith later crowed, the hapless Mayflower spent several frigid weeks scouting around Cape Cod for a good place to land, during which time many colonists became sick and died. Landfall at Patuxet did not end their problems. The colonists had intended to produce their own food, but inexplicably neglected to bring any cows, sheep, mules, or horses. To be sure, the Pilgrims had intended to make most of their livelihood not by farming but by catching fish for export to Britain. But the only fishing gear the Pilgrims brought was useless in New England. Half of the 102 people on the Mayflower made it through the first winter, which to me seemed amazing. How did they survive? In his history of Plymouth colony, Governor Bradford himself provides one answer: robbing Indian houses and graves. The Mayflower hove to first at Cape Cod. An armed company of Pilgrims staggered out. Eventually they found a deserted Indian habitation. The newcomers—hungry, cold, sick—dug open burial sites and ransacked homes, looking for underground stashes of food. After two days of nervous work the company hauled ten bushels of maize back to the Mayflower, carrying much of the booty in a big metal kettle the men had also stolen. “And sure it was God’s good providence that we found this corn,” Winslow wrote, “for else we know not how we should have done.” The Pilgrims were typical in their lack of preparation. Expeditions from France and Spain were usually backed by the state, and generally staffed by soldiers accustomed to hard living. English voyages, by contrast, were almost always funded by venture capitalists who hoped for a quick cash-out. Like Silicon Valley in the heyday of the Internet bubble, London was the center of a speculative mania about the Americas. As with the dot-com boom, a great deal of profoundly fractured cerebration occurred. Decades after first touching the Americas, London’s venture capitalists still hadn’t figured out that New England is colder than Britain despite being farther south. Even when they focused on a warmer place like Virginia, they persistently selected as colonists people ignorant of farming; multiplying the difficulties, the would-be colonizers were arriving in the middle of a severe, multiyear drought. As a result, Jamestown and the other Virginia forays survived on Indian charity—they were “utterly dependent and therefore controllable,” in the phrase of Karen Ordahl Kuppermann, a New York University historian. The same held true for my ancestor’s crew in Plymouth. Inexperienced in agriculture, the Pilgrims were also not woods-people; indeed, they were so incurious about their environment that Bradford felt obliged to comment in his journal when Francis Billington, my ancestor’s son, climbed to the top of a tall tree to look around. As Thoreau noted with disgust, the colonists landed at Plymouth on December 16, but it was not until January 8 that one of them went as far away as two miles—and even then the traveler was, again, Francis Billington. “A party of emigrants to California or Oregon,” Thoreau complained, with no less work on their hands,—and more hostile Indians,—would do as much exploring in the first afternoon, and the Sieur de Champlain would have sought an interview with the savages, and examined the country as far as the Connecticut [River, eighty miles away], and made a map of it, before Billington had climbed his tree. Huddled in their half-built village that first terrible winter, the colonists rarely saw the area’s inhabitants, except for the occasional shower of brass- or claw-tipped arrows. After February, glimpses and sightings became more frequent. Scared, the Pilgrims hauled five small cannons from the Mayflower and emplaced them in a defensive fortification. But after all the anxiety, their first contact with Indians went surprisingly easily. Within days Tisquantum came to settle among them. And then they heard his stories. No record survives of Tisquantum’s first journey across the Atlantic, but arithmetic gives some hint of the conditions in Hunt’s ship. John Smith had arrived with two ships and a crew of forty-five. If the two ships had been of equal size, Hunt would have sailed with a crew of about twenty-two. Because Hunt, Smith’s subordinate, had the smaller of the two vessels, the actual number was surely less. Adding twenty or more captured Indians thus meant that the ship was sailing with at least twice its normal complement. Tisquantum would have been tied or chained, to prevent rebellion, and jammed into whatever dark corner of the hull was available. Presumably he was fed from the ship’s cargo of dried fish. Smith took six weeks to cross the Atlantic to England. There is no reason to think Hunt went faster. The only difference was that he took his ship to M?laga, on Spain’s Mediterranean coast. There he intended to sell all of his cargo, including the human beings. The Indians’ appearance in this European city surely caused a stir. Not long before, Shakespeare had griped in The Tempest that the populace of the much bigger city of London “would not give a doit [a small coin] to a lame beggar, [but] will lay out ten to see a dead Indian.” Hunt managed to sell only a few of his captives before local Roman Catholic priests seized the rest—the Spanish Church vehemently opposed brutality toward Indians. (In 1537 Pope Paul III proclaimed that “Indians themselves indeed are true men” and should not be “deprived of their liberty” and “reduced to our service like brute animals.”) The priests intended to save both Tisquantum’s body, by preventing his enslavement, and his soul, by converting him to Christianity. It is unlikely that Tisquantum was converted, though it’s possible that he allowed the friars to think he had been. In any case, this resourceful man convinced them to let him return home—or, rather, to try to return. He got to London, where he stayed with John Slany, a shipbuilder with investments in Newfoundland. Slany apparently taught Tisquantum English while maintaining him as a curiosity in his townhouse. Meanwhile, Tisquantum persuaded him to arrange for passage to North America on a fishing vessel. He ended up in a tiny British fishing camp on the southern edge of Newfoundland. It was on the same continent as Patuxet, but between them were a thousand miles of rocky coastline and the Mi’Kmac and Abenaki alliances, which were at war with one another. Because traversing this unfriendly territory would be difficult, Tisquantum began looking for a ride to Patuxet. He extolled the bounty of New England to Thomas Dermer, one of Smith’s subordinates, who was then staying in the same camp. Dermer, excited by Tisquantum’s promise of easy wealth, contacted Ferdinando Gorges. Gorges, a longtime, slightly dotty enthusiast about the Americas, promised to send over a ship with the men, supplies, and legal papers necessary for Dermer to take a crack at establishing a colony in New England. Dermer, with Tisquantum, was supposed to meet the ship when it arrived in New England. One Edward Rowcraft captained the ship sent by Gorges from England. According to Gorges’s principal biographer, Rowcraft “appears to have been unfit for such an enterprise.” This was an understatement. In a bizarre episode, Rowcraft sailed to the Maine coast in early 1619; promptly spotted a French fishing boat; seized it for supposedly trespassing on British property (North America); placed its crew in chains aboard his own ship; sent that ship back to Gorges with the prisoners; continued his journey on the smaller French vessel, which led to a mutiny; quelled the mutiny; stranded the mutineers on the Maine coast; discovered that a) without the mutineers he didn’t have enough people to operate the captured ship and b) it was slowly filling up with water from leaks; and decided to sail immediately for Britain’s colony in Jamestown, Virginia, which had the facilities to repair the hull—a course that entailed skipping the promised rendezvous with Dermer. At Jamestown, Rowcraft managed, through inattentiveness, to sink his ship. Not long afterward he was killed in a brawl. Incredibly, Dermer failed to execute his part of the plan, too. In orthodox comedy-of-errors style, he did not wait for Rowcraft in Maine, as he was supposed to, but sailed back to England, Tisquantum in tow. (The two ships more or less crossed paths in the Atlantic.) Dermer and Tisquantum met personally with Gorges. *6 Evidently they made an excellent impression, for despite Dermer’s proven inability to follow instructions Gorges sent him back with Tisquantum and a fresh ship to meet Rowcraft, who was supposed to be waiting for them in New England. Dermer touched land in Maine and discovered that Rowcraft had already left. On May 19, 1619, still accompanied by Tisquantum, he set out for Massachusetts, hoping to catch up with Rowcraft (he didn’t know that Rowcraft had sunk his own ship). What Tisquantum saw on his return home was unimaginable. From southern Maine to Narragansett Bay, the coast was empty—“utterly void,” Dermer reported. What had once been a line of busy communities was now a mass of tumbledown homes and untended fields overrun by blackberries. Scattered among the houses and fields were skeletons bleached by the sun. Slowly Dermer’s crew realized they were sailing along the border of a cemetery two hundred miles long and forty miles deep. Patuxet had been hit with special force. Not a single person remained. Tisquantum’s entire social world had vanished. Looking for his kinsfolk, he led Dermer on a melancholy march inland. The settlements they passed lay empty to the sky but full of untended dead. Tisquantum’s party finally encountered some survivors, a handful of families in a shattered village. These people sent for Massasoit, who appeared, Dermer wrote, “with a guard of fiftie armed men”—and a captive French sailor, a survivor of the shipwreck on Cape Cod. Massasoit asked Dermer to send back the Frenchman. And then he told Tisquantum what had happened. One of the French sailors had learned enough Massachusett to inform his captors before dying that God would destroy them for their misdeeds. The Nauset scoffed at the threat. But the Europeans carried a disease, and they bequeathed it to their jailers. Based on accounts of the symptoms, the epidemic was probably of viral hepatitis, according to a study by Arthur E. Spiess, of the Maine Historic Preservation Commission, and Bruce D. Spiess, of the Medical College of Virginia. (In their view, the strain was, like hepatitis A, probably spread by contaminated food, rather than by sexual contact, like hepatitis B or C.) Whatever the cause, the results were ruinous. The Indians “died in heapes as they lay in their houses,” the merchant Thomas Morton observed. In their panic, the healthy fled from the sick, carrying the disease with them to neighboring communities. Behind them remained the dying, “left for crows, kites, and vermin to prey upon.” Beginning in 1616, the pestilence took at least three years to exhaust itself and killed as much as 90 percent of the people in coastal New England. “And the bones and skulls upon the severall places of their habitations made such a spectacle,” Morton wrote, that the Massachusetts woodlands seemed to be “a new-found Golgotha,” the Place of the Skull, where executions took place in Roman Jerusalem. The religious overtones in Morton’s metaphor are well placed. Neither the Indians nor the Pilgrims had our contemporary understanding of infectious disease. Each believed that sickness reflected the will of celestial forces. As the writer and historian Paula Gunn Allen put it, The idea that the realm of the spirits or the supernatural was powerfully engaged in the day-to-day life of nations as well as of villagers was commonly held on both sides of the Atlantic…. Both [Indians and Europeans] predicted events by the position of certain stars on the ecliptic plane around earth as much as by visionary techniques, and both assumed the reality of malicious as well as beneficent supernaturals. The only real question in the minds of either side was whether Indian spiritual forces could affect Europeans, and vice versa. (As an experiment, Cotton Mather, a celebrated New England minister, tried to exorcise the “daemons in a possessed young woman” with incantations in Massachusett. To his satisfaction, the results demonstrated empirically that Indian magic had no effect on Christian devils.) Until the sickness Massasoit had directly ruled a community of several thousand and held sway over a confederation of as many as twenty thousand. Now his group was reduced to sixty people and the entire confederation to fewer than a thousand. The Wampanoag, wrote Salisbury, the Smith historian, came to the obvious logical conclusion: “their deities had allied against them.” The Pilgrims held similar views. Governor Bradford is said to have attributed the plague to “the good hand of God,” which “favored our beginnings” by “sweeping away great multitudes of the natives…that he might make room for us.” Indeed, more than fifty of the first colonial villages in New England were located on Indian communities emptied by disease. The epidemic, Gorges said, left the land “without any [people] to disturb or appease our free and peaceable possession thereof, from when we may justly conclude, that GOD made the way to effect his work.” Much as the Lisbon earthquake of 1755, which killed tens of thousands in one of Europe’s richest cities, prompted spiritual malaise across Europe, the New England epidemic shattered the Wampanoag’s sense that they lived in balance with an intelligible world. On top of that, the massive death toll created a political crisis. Because the hostility between the Wampanoag and the neighboring Narragansett had restricted contact between them, the disease had not spread to the latter. Massasoit’s people were not only beset by loss, they were in danger of subjugation. In this engraving taken from a John White watercolor of an East Coast village, the palisaded wall suggests that warfare was common enough to merit the considerable labor of cutting down many trees with stone tools, but the forces were not large enough to require moats, stone walls, earthen embankments, or any other big defensive fortification. After learning about the epidemic, the distraught Tisquantum first returned with Dermer to southern Maine. Apparently concluding he was never going to meet Rowcraft, Dermer decided in 1620 to make another pass at New England. Tisquantum returned, too, but not with Dermer. Instead he walked home—the long, risky journey he had wanted to avoid. In the interim, yet another English expedition had attacked the Wampanoag, killing several without apparent provocation. Understandably enraged, Indians attacked Dermer several times on his journey south; he was eventually slain on Martha’s Vineyard by another former Indian abductee. For his part, Tisquantum was seized on his journey home, perhaps because of his association with the hated English, and sent to Massasoit as a captive. As he had before, Tisquantum talked his way out of a jam. This time he extolled the English, filling Massasoit’s ears with tales of their cities, their great numbers, their powerful technology. Tisquantum said, according to a colonist who knew him, that if the sachem “Could make [the] English his Friends then [any] Enemies yt weare to[o] strong for him”—in other words, the Narragansett—“would be Constrained to bowe to him.” The sachem listened without trust. Within a few months, word came that a party of English had set up shop at Patuxet. The Wampanoag observed them suffer through the first punishing winter. Eventually Massasoit concluded that he possibly should ally with them—compared to the Narragansett, they were the lesser of two evils. Still, only when the need for a translator became unavoidable did he allow Tisquantum to meet the Pilgrims. Massasoit had considerable experience with Europeans—his father had sent Martin Pring on his way seventeen years before. But that was before the epidemic, when Massasoit had the option of expelling them. Now he told the Pilgrims that he was willing to leave them in peace (a bluff, one assumes, since driving them away would have taxed his limited resources). But in return he wanted the colonists’ assistance with the Narragansett. To the Pilgrims, the Indians’ motives for the deal were obvious. They wanted European technology on their side. In particular, they wanted guns. “He thinks we may be [of] some strength to him,” Winslow said later, “for our pieces [guns] are terrible to them.” In fact Massasoit had a subtler plan. It is true that European technology dazzled Native Americans on first encounter. But the relative positions of the two sides were closer than commonly believed. Contemporary research suggests that indigenous peoples in New England were not technologically inferior to the British—or, rather, that terms like “superior” and “inferior” do not readily apply to the relationship between Indian and European technology. Guns are an example. As Chaplin, the Harvard historian, has argued, New England Indians were indeed disconcerted by their first experiences with European guns: the explosion and smoke, the lack of a visible projectile. But the natives soon learned that most of the British were terrible shots, from lack of practice—their guns were little more than noisemakers. Even for a crack shot, a seventeenth-century gun had fewer advantages over a longbow than may be supposed. Colonists in Jamestown taunted the Powhatan in 1607 with a target they believed impervious to an arrow shot. To the colonists’ dismay, an Indian sank an arrow into it a foot deep, “which was strange, being that a Pistoll could not pierce it.” To regain the upper hand, the English set up a target made of steel. This time the archer “burst his arrow all to pieces.” The Indian was “in a great rage”; he realized, one assumes, that the foreigners had cheated. When the Powhatan later captured John Smith, Chaplin notes, Smith broke his pistol rather than reveal to his captors “the awful truth that it could not shoot as far as an arrow could fly.” At the same time, Europeans were impressed by American technology. The foreigners, coming from a land plagued by famine, were awed by maize, which yields more grain per acre than any other cereal. Indian moccasins were so much more comfortable and waterproof than stiff, moldering English boots that when colonists had to walk for long distances their Indian companions often pitied their discomfort and gave them new footwear. Indian birchbark canoes were faster and more maneuverable than any small European boat. In 1605 three laughing Indians in a canoe literally paddled circles round the lumbering dory paddled by traveler George Weymouth and seven other men. Despite official disapproval, the stunned British eagerly exchanged knives and guns for Indian canoes. Bigger European ships with sails had some advantages. Indians got hold of them through trade and shipwreck, and trained themselves to be excellent sailors. By the time of the epidemic, a rising proportion of the shipping traffic along the New England coast was of indigenous origin. Reading Massasoit’s motives at this distance is a chancy business. But it seems likely that he did not want to ally with the foreigners primarily for their guns, as they believed. Although the sachem doubtless relished the possibility of additional firepower, he probably wanted more to confront the Narragansett with the unappetizing prospect of attacking one group of English people at the same time that their main trading partners were other English people. Faced with the possibility of disrupting their favored position as middlemen, the Narragansett might think twice before staging an incursion. Massasoit, if this interpretation is correct, was trying to incorporate the Pilgrims into the web of native politics. Not long before Massasoit had expelled foreigners who stayed too long in Wampanoag territory. But with the entire confederation now smaller than one of its former communities, the best option seemed to be allowing the Pilgrims to remain. It was a drastic, even fatal, decision. MACHINATIONS Tisquantum worked to prove his value to the Pilgrims. He was so successful that when some anti-British Indians abducted him the colonists sent out a military expedition to get him back. They did not stop to ask themselves why he might be making himself essential, given how difficult it must have been to live in the ghost of his childhood home. In retrospect, the answer seems clear: the alternative to staying in Plymouth was returning to Massasoit and renewed captivity. Recognizing that the Pilgrims would be unlikely to keep him around forever, Tisquantum decided to gather together the few survivors of Patuxet and reconstitute the old community at a site near Plymouth. More ambitious still, he hoped to use his influence on the English to make this new Patuxet the center of the Wampanoag confederation, thereby stripping the sachemship from Massasoit, who had held him captive. To accomplish these goals, he intended to play the Indians and English against each other. The scheme was risky, not least because the ever-suspicious Massasoit sent one of his pniese, Hobamok, to Plymouth as a monitor. (Hobamok, like Tisquantum, apparently adopted a new name in his dealings with the British; “Hobamok” was the source of evil in Wampanoag cosmology.) Sometimes the two men were able to work together, as when Hobamok and Tisquantum helped the Pilgrims negotiate a treaty with the Massachusett to the north. They also helped establish a truce with the Nauset of Cape Cod after Bradford promised to pay back the losses caused by their earlier grave robbing. By fall the settlers’ situation was secure enough that they held a feast of thanksgiving. Massasoit showed up with ninety people, most of them young men with weapons. The Pilgrim militia responded by marching around and firing their guns in the air in a manner intended to convey menace. Gratified, both sides sat down, ate a lot of food, and complained about the Narragansett. Ecce Thanksgiving. All the while, Tisquantum covertly tried to persuade other Wampanoag that he was better able to protect them against the Narragansett than Massasoit. In case of attack, Tisquantum claimed, he could respond with an equal number of Indian troops—and the Pilgrims, who might be able to intimidate the enemy. He evidently believed that the Narragansett did not have enough experience with European guns to know that they were not as fearsome as they first appeared. To advance his case, Tisquantum told other Indians that the foreigners had hidden away casefuls of the agent that caused the epidemic, and that he could manipulate them into unleashing it. Even as Tisquantum attempted to foment Indian distrust of Massasoit, he told the colonists that Massasoit was going to double-cross them by leading a joint attack on Plymouth with the Narragansett. And he attempted to trick the Pilgrims into attacking the sachem. In the spring of 1622 Tisquantum accompanied a delegation to the Massachusett in Boston Harbor. Minutes after they left, Bradford later recalled, one of the surviving Patuxet “came running in seeming great fear” to inform the settlers that the Narragansett “and he thought also Massasoit” were planning to attack. The idea clearly was that the colonists, enraged by the putative assault, would rise up and smite Massasoit. Tisquantum would be away, so his hands would seem clean. Instead everything went awry. In Indian villages people could only be summoned by shouting; once a canoe had gone a few hundred yards, it could not readily be called back. But when the news came of the impending attack, Bradford ordered the Pilgrims to fire a cannon to order back the expedition and Tisquantum. Meanwhile Hobamok, who had acquired some English, indignantly denied the story. In a move that Tisquantum apparently had not anticipated, Bradford dispatched Hobamok’s wife to Massasoit’s home to find out what the sachem was doing. She reported that “all was quiet.” Actually, this wasn’t entirely true. Massasoit was furious—at Tisquantum. He demanded that the Pilgrims send their translator to him for a quick execution. Bradford refused; Tisquantum’s language skills were too vital. Tisquantum is one of my subjects, Massasoit said. You Pilgrims have no jurisdiction over him. And he offered a cache of fur to sweeten the deal. When the colony still would not surrender Tisquantum, Massasoit sent a messenger with a knife and told Bradford to lop off Tisquantum’s hands and head. To make his displeasure manifest, he summoned Hobamok home and cut off contact with the Pilgrims. Nervous, the colonists began building defensive fortifications. Worse, almost no rain fell between mid-May and mid-July, withering their crops. Because the Wampanoag had stopped trading with them, the Pilgrims would not be able to supplement their harvest. Tisquantum, afraid of Massasoit’s wrath, was unable to take a step outside of Plymouth without an escort. Nonetheless, he accompanied Bradford on a trip to southeast Cape Cod to negotiate another pact. They were on the way home when Tisquantum suddenly became sick. He died in a few days, his hopes in ruins. In the next decade tens of thousands of Europeans came to Massachusetts. Massasoit shepherded his people through the wave of settlement, and the pact he signed with Plymouth lasted for more than fifty years. Only in 1675 did one of his sons, angered at being pushed around by colonists’ laws, launch what was perhaps an inevitable attack. Indians from dozens of groups joined in. The conflict, brutal and sad, tore through New England. The Europeans won. Historians attribute part of the victory to Indian unwillingness to match the European tactic of massacring whole villages. Another reason for the newcomers’ triumph was that by that time they outnumbered the natives. Groups like the Narragansett, which had been spared by the epidemic of 1616, were crushed by a smallpox epidemic in 1633. A third to half of the remaining Indians in New England died. The People of the First Light could avoid or adapt to European technology but not European disease. Their societies were destroyed by weapons their opponents could not control and did not even know they had. ? In the Land of Four Quarters “LIKE A CLUB RIGHT BETWEEN THE EYES” In the early 1960s, Henry F. Dobyns, a young anthropologist working on a rural-aid project in Peru, dispatched assistants to storehouses of old records throughout the country. Dobyns himself traveled to the central cathedral in Lima. Entering the nave, visitors passed by a chapel on the right-hand side that contained the mummified body of Francisco Pizarro, the romantic, thuggish Spaniard who conquered Peru in the sixteenth century. Or, rather, they passed by a chapel that was thought to contain the conqueror’s mummified body; the actual remains turned up years later, stashed inside two metal boxes beneath the main altar. Dobyns was not visiting the cathedral as a sightseer. Instead, he descended into the structure’s basement—cold, dank, poorly lighted—to inspect birth and death registers kept there. Dobyns belonged to a research team led by his doctoral advisor, Allan R. Holmberg of Cornell, the Holmberg after whom I have unkindly named Holmberg’s Mistake. Holmberg had persuaded Cornell to let him lease an old colonial estate in rural Peru (the Carnegie Corporation, a charitable foundation despite its name, provided the funds). The estate included an entire village, whose inhabitants, most of them Indian, were its sharecroppers. “It was really a form of serfdom,” Dobyns told me. “The villagers were just heartbreakingly poor.” Holmberg planned to test strategies for raising their incomes. Because land tenure was a contentious issue in Peru, he had asked Dobyns to finalize the lease and learn more about the estate’s history. With his adjutants, Dobyns visited a dozen archives, including those in the cathedral. Dobyns had been dipping his toe into archival research for more than a decade, with results he found intriguing. His first foray into the past occurred in 1953, while he was visiting his parents in Phoenix, Arizona, during a school break. A friend, Paul H. Ezell, asked him for some help with his doctoral thesis. The thesis concerned the adoption of Spanish culture by the Pima Indians, who occupy a 372,000-acre reservation south of Phoenix. Many of the region’s colonial-era records survived in the Mexican town of Altar, in the border state of Sonora. Ezell wanted to examine those records, and asked Dobyns to come along. One weekend the two men drove from Phoenix to Nogales, on the border. From Nogales, they went south, west, and up into the highlands, often on dirt roads, to Altar. Then a huddle of small houses surrounding a dozen little stores, Altar was, Dobyns said, “the end of the earth.” Local women still covered their heads with shawls. Gringo visitors, few in number, tended to be prospectors chasing rumors of lost gold mines in the mountains. After surprising the parish priest by their interest in his records, the two young men hauled into the church their principal research tool: a Contura portable copier, an ancestor to the Xerox photocopier that required freshly stirred chemicals for each use. The machine strained the technological infrastructure of Altar, which had electricity for only six hours a day. Under flickering light, the two men pored through centuries-old ledgers, the pages beautifully preserved by the dry desert air. Dobyns was struck by the disparity between the large number of burials recorded at the parish and the far smaller number of baptisms. Almost all the deaths were from diseases brought by Europeans. The Spaniards arrived and then Indians died—in huge numbers, at incredible rates. It hit him, Dobyns told me, “like a club right between the eyes.” At first he did nothing about his observation. Historical demography was not supposed to be his field. Six years later, in 1959, he surveyed more archives in Hermosilla and found the same disparity. By this point he had almost finished his doctorate at Cornell and had been selected for Holmberg’s project. The choice was almost haphazard: Dobyns had never been to Peru. Peru, Dobyns learned, was one of the world’s cultural wellsprings, a place as important to the human saga as the Fertile Crescent. Yet the area’s significance had been scarcely appreciated outside the Andes, partly because the Spaniards so thoroughly ravaged Inka culture, and partly because the Inka themselves, wanting to puff up their own importance, had actively concealed the glories of the cultures before them. Incredibly, the first full history of the fall of the Inka empire did not appear until more than three hundred years after the events it chronicled: William H. Prescott’s History of the Conquest of Peru, published in 1847. Prescott’s thunderous cadences remain a pleasure to read, despite the author’s firmly stated belief, typical for his time, in the moral inferiority of the natives. But the book had no successor. More than a century later, when Dobyns went to Lima, Prescott’s was still the only complete account. (A fine history, John Hemming’s Conquest of the Incas, appeared in 1970. But it, too, has had no successor, despite a wealth of new information.) “The Inka were largely ignored because the entire continent of South America was largely ignored,” Patricia Lyon, an anthropologist at the Institute for Andean Studies, in Berkeley, California, explained to me. Until the end of colonialism, she suggested, researchers tended to work in their own countries’ possessions. “The British were in Africa, along with the Germans and French. The Dutch were in Asia, and nobody was in South America,” because most of its nations were independent. The few researchers who did examine Andean societies were often sidetracked into ideological warfare. The Inka practiced a form of central planning, which led scholars into a sterile Cold War squabble about whether they were actually socialists avant la lettre in a communal Utopia or a dire precursor to Stalinist Russia. Given the lack of previous investigation, it may have been inevitable that when Dobyns traced births and deaths in Lima he would be staking out new ground. He collected every book on Peruvian demography he could find. And he dipped into his own money to pay Cornell project workers to explore the cathedral archives and the national archives of Peru and the municipal archives of Lima. Slowly tallying mortality and natality figures, Dobyns continued to be impressed by what he found. Like any scholar, he eventually wrote an article about what he had learned. But by the time his article came out, in 1963, he had realized that his findings applied far beyond Peru. The Inka and the Wampanoag were as different as Turks and Swedes. But Dobyns discovered, in effect, that their separate battles with Spain and England followed a similar biocultural template, one that explained the otherwise perplexing fact that every Indian culture, large or small, eventually succumbed to Europe. (Shouldn’t there have been some exceptions?) And then, reasoning backward in time from this master narrative, he proposed a new way to think about Native American societies, one that transformed not only our understanding of life before Columbus arrived, but our picture of the continents themselves. TAWANTINSUYU In 1491 the Inka ruled the greatest empire on earth. Bigger than Ming Dynasty China, bigger than Ivan the Great’s expanding Russia, bigger than Songhay in the Sahel or powerful Great Zimbabwe in the West Africa tablelands, bigger than the cresting Ottoman Empire, bigger than the Triple Alliance (as the Aztec empire is more precisely known), bigger by far than any European state, the Inka dominion extended over a staggering thirty-two degrees of latitude—as if a single power held sway from St. Petersburg to Cairo. The empire encompassed every imaginable type of terrain, from the rainforest of upper Amazonia to the deserts of the Peruvian coast and the twenty-thousand-foot peaks of the Andes between. “If imperial potential is judged in terms of environmental adaptability,” wrote the Oxford historian Felipe Fern?ndez-Armesto, “the Inka were the most impressive empire builders of their day.” The Inka goal was to knit the scores of different groups in western South America—some as rich as the Inka themselves, some poor and disorganized, all speaking different languages—into a single bureaucratic framework under the direct rule of the emperor. The unity was not merely political: the Inka wanted to meld together the area’s religion, economics, and arts. Their methods were audacious, brutal, and efficient: they removed entire populations from their homelands; shuttled them around the biggest road system on the planet, a mesh of stone-paved thoroughfares totaling as much as 25,000 miles; and forced them to work with other groups, using only Runa Sumi, the Inka language, on massive, faraway state farms and construction projects. *7 To monitor this cyclopean enterprise, the Inka developed a form of writing unlike any other, sequences of knots on strings that formed a binary code reminiscent of today’s computer languages (see Appendix B, “Talking Knots”). So successful were the Inka at remolding their domain, according to the late John H. Rowe, an eminent archaeologist at the University of California at Berkeley, that Andean history “begins, not with the Wars of [South American] Independence or with the Spanish Conquest, but with the organizing genius of [empire founder] Pachakuti in the fifteenth century.” TAWANTINSUYU The Land of the Four Quarters, 1527 A.D. Highland Peru is as extraordinary as the Inka themselves. It is the only place on earth, the Cornell anthropologist John Murra wrote, “where millions [of people] insist, against all apparent logic, on living at 10,000 or even 14,000 feet above sea level. Nowhere else have people lived for so many thousands of years in such visibly vulnerable circumstances.” And nowhere else have people living at such heights—in places where most crops won’t grow, earthquakes and landslides are frequent, and extremes of weather are the norm—repeatedly created technically advanced, long-lasting civilizations. The Inka homeland, uniquely high, was also uniquely steep, with slopes of more than sixty-five degrees from the horizontal. (The steepest street in San Francisco, famed for its nearly undrivable hills, is thirty-one-and-a-half degrees.) And it was uniquely narrow; the distance from the Pacific shore to the mountaintops is in most places less than seventy-five miles and in many less than fifty. Ecologists postulate that the first large-scale human societies tended to arise where, as Jared Diamond of the University of California at Los Angeles put it, geography provided “a wide range of altitudes and topographies within a short distance.” One such place is the Fertile Crescent, where the mountains of western Iran and the Dead Sea, the lowest place on earth, bracket the Tigris and Euphrates river systems. Another is Peru. In the short traverse from mountain to ocean, travelers pass through twenty of the world’s thirty-four principal types of environment. Highland Peru, captured in this image of the Inka ruin Wi?ay Wayna by the indigenous Andean photographer Mart?n Chambi (1891–1973), is the only place on earth where people living at such inhospitable altitudes repeatedly created materially sophisticated societies. To survive in this steep, narrow hodgepodge of ecosystems, Andean communities usually sent out representatives and colonies to live up- or downslope in places with resources unavailable at home. Fish and shellfish from the ocean; beans, squash, and cotton from coastal river valleys; maize, potatoes, and the Andean grain quinoa from the foothills; llamas and alpacas for wool and meat in the heights—each area had something to contribute. Villagers in the satellite settlements exchanged products with the center, sending beans uphill and obtaining llama jerky in return, all the while retaining their citizenship in a homeland they rarely saw. Combining the fruits of many ecosystems, Andean cultures both enjoyed a better life than they could have wrested from any single place and spread out the risk from the area’s frequent natural catastrophes. Murra invented a name for this mode of existence: “vertical archipelagoes.” Verticality helped Andean cultures survive but also pushed them to stay small. Because the mountains impeded north-south communication, it was much easier to coordinate the flow of goods and services east to west. As a result the region for most of its history was a jumble of small- and medium-scale cultures, isolated from all but their neighbors. Three times, though, cultures rose to dominate the Andes, uniting previously separate groups under a common banner. The first period of hegemony was that of Chav?n, which from about 700 B.C. to the dawn of the Christian era controlled the central coast of Peru and the adjacent mountains. The next, beginning after Chav?n’s decline, was the time of two great powers: the technologically expert empire of Wari, which held sway over the coastline previously under Chav?n; and Tiwanaku, centered on Lake Titicaca, the great alpine lake on the Peru-Bolivia border. (I briefly discussed Wari and Tiwanaku earlier, and will return to them—and to the rest of the immense pre-Inka tradition—later.) After Wari and Tiwanaku collapsed, at the end of the first millennium, the Andes split into sociopolitical fragments and with one major exception remained that way for more than three centuries. Then came the Inka. The Inka empire, the greatest state ever seen in the Andes, was also the shortest lived. It began in the fifteenth century and lasted barely a hundred years before being smashed by Spain. As conquerors, the Inka were unlikely. Even in 1350 they were still an unimportant part of the political scene in the central Andes, and newcomers at that. In one of the oral tales recorded by the Spanish Jesuit Bernab? Cobo, the Inka originated with a family of four brothers and four sisters who left Lake Titicaca for reasons unknown and wandered until they came upon what would become the future Inka capital, Qosqo (Cusco, in Spanish). Cobo, who sighed over the “extreme ignorance and barbarity” of the Indians, dismissed such stories as “ludicrous.” Nonetheless, archaeological investigation has generally borne them out: the Inka seem indeed to have migrated to Qosqo from somewhere else, perhaps Lake Titicaca, around 1200 A.D. The colonial account of Inka history closest to indigenous sources is by Juan de Betanzos, a Spanish commoner who rose to marry an Inka princess and become the most prominent translator for the colonial government. Based on interviews with his in-laws, Betanzos estimated that when the Inka showed up in the Qosqo region “more than two hundred” small groups were already there. Qosqo itself, where they settled, was a hamlet “of about thirty small, humble straw houses.” Archaeological evidence suggests that the Inka gradually became more powerful. The apparent turning point in their fortunes occurred when they somehow made enemies of another group, the Chanka, who eventually attacked them. This unremarkable provincial squabble had momentous consequences. According to a widely quoted chronology by the sixteenth-century cleric Miguel Cabello Balboa, the Chanka offensive took place in 1438. The Inka leader at that time was Wiraqocha Inka. *8 “A valiant prince,” according to Cobo, Wiraqocha Inka had a “warlike” nature even as a young man and vowed that after taking the throne “he would conquer half the world.” Perhaps so, but he fled the Chanka attack with three of his four sons, including his designated successor, Inka Urqon. A younger son, Inka Cusi Yupanki, refused to run. Instead he fought the Chanka with such bravery that (according to the legend) the very stones rose up to join the fray. Inka Yupanki won the battle, capturing many Chanka leaders. Later he skinned them in celebration—Pizarro saw the trophies on display. But first Inka Yupanki presented the captives to his father, so that Wiraqocha Inka could perform the victory ritual of wiping his feet on their bodies. Fearing that Inka Yupanki was becoming too big for his britches, Wiraqocha Inka chose that moment to remind his younger son of his subordinate status. The foot-wiping honor, he proclaimed, actually belonged to the next Inka: Inka Urqon. “To this,” Betanzos wrote, “Inka Yupanki answered that he was begging his father to tread on the prisoners, that he had not won the victory so that such women as Inka Urqon and the rest of his brothers could step on them.” A heated argument led to a standoff. In a Shakespearian move, Wiraqocha Inka decided to settle the issue by murdering his inconvenient younger son. (It was “a crazy impulse,” one of Wiraqocha Inka’s generals later explained.) Inka Yupanki was tipped off and the scheme failed. The humiliated Wiraqocha Inka went into exile while Inka Yupanki returned in triumph to Qosqo, renamed himself Pachakuti (“World-shaker”), and proclaimed that the ruling Inka families were descended from the sun. Then he went about conquering everything in sight. Hey, wait a minute! the reader may be saying. This family story makes such terrific melodrama that it seems reasonable to wonder whether it actually happened. After all, every known written account of the Inka was set down after the conquest, a century or more after Pachakuti’s rise. And these differ from each other, sometimes dramatically, reflecting the authors’ biases and ignorance, and their informants’ manipulation of history to cast a flattering light on their family lines. For these reasons, some scholars dismiss the chronicles entirely. Others note that both the Inka and the Spaniards had long traditions of record-keeping. By and large the chroniclers seem to have been conscious of their roles as witnesses and tried to live up to them. Their versions of events broadly agree with each other. As a result, most scholars judiciously use the colonial accounts, as I try to do here. After taking the reins of state, Pachakuti spent the next twenty-five years expanding the empire from central highland Peru to Lake Titicaca and beyond. His methods were subtler and more economical with direct force than one might expect, as exemplified by the slow takeover of the coastal valley of Chincha. In about 1450 Pachakuti dispatched an army to Chincha under Qhapaq Yupanki (Ka-pok Yu-panki, meaning roughly “Munificent Honored One”), a kind of adopted brother. Marching into the valley with thousands of troops, Qhapaq Yupanki informed the fearful local gentry that he wanted nothing from Chincha whatsoever. “He said that he was the son of the Sun,” according to the report of two Spanish priests who investigated the valley’s history in the 1550s. “And that he had come for their good and for everyone’s and that he did not want their silver nor their gold nor their daughters.” Far from taking the land by force, in fact, the Inka general would give them “all that he was carrying.” And he practically buried the Chincha leadership under piles of valuables. In return for his generosity, the general asked only for a little appreciation, preferably in the form of a large house from which the Inka could operate, and a staff of servants to cook, clean, and make the things needed by the outpost. And when Qhapaq Yupanki left, he asked Chincha to keep expressing its gratitude by sending craftspeople and goods to Qosqo. A decade later Pachakuti sent out another army to the valley, this one led by his son and heir, Thupa Inka Yupanki (“Royal Honored Inka”). Thupa Inka closeted himself with the local leadership and laid out many inspired ideas for the valley’s betterment, all of which were gratefully endorsed. Following the Inka template, the local leaders drafted the entire populace into service, dividing households by sex and age into cohorts, each with its own leader who reported to the leader of the next larger group. “Everything was in order for the people to know who was in control,” the Spanish priests wrote. Thupa Inka delegated tasks to the mobilized population: hewing roads to link Chincha to other areas controlled by the Inka, building a new palace for the Inka, and tending the fields set aside for the Inka. Thupa Inka apparently left the area in charge of his brother, who continued managing its gratitude. The next visit came from Pachakuti’s grandson, probably in the 1490s. With him came escalating demands for land and service—the veneer of reciprocity was fading. By that point the Chincha had little alternative but to submit. They were surrounded by Inka satrapies; their economy was enmeshed with the imperial machinery; they had hundreds or thousands of people doing the empire’s bidding. The Chincha elite, afraid to take on the Inka army, always chose compliance over valor, and were rewarded with plum positions in the colonial government. But their domain had ceased to exist as an independent entity. In 1976 Edward N. Luttwak, now at the Center for Strategic and International Studies, in Washington, D.C., published a short, provocative book about imperial Rome that distinguished between territorial and hegemonic empires. Territorial empires directly occupy territories with their armies, throw out the old rulers, and annex the land. In hegemonic empires, the internal affairs of conquered areas remain in the hands of their original rulers, who become vassals. Territorial empires are tightly controlled but costly to maintain; hegemonic empires are inexpensive to maintain, because the original local rulers incur the costs of administration, but the loose tie between master and vassal encourages rebellion. Every conquest-minded state is a mixture of both, but all Native American empires leaned toward the hegemonic. Without horses, Indian soldiers unavoidably traveled slower than European or Asian soldiers. If brigades were tied up as occupiers, they could not be reassigned quickly. As a result, the Inka were almost forced to co-opt local rulers instead of displacing them. They did so with a vengeance. Pachakuti gave command of the military to his son Thupa Inka in 1463 and turned his attention to totally rebuilding Qosqo in imperial style, in the process becoming one of history’s great urban planners. Although he drew on Andean aesthetic traditions, Pachakuti put his own stamp on Inka art and architecture. Whereas the buildings of Sumer and Assyria were covered with brilliant mosaics and splendid pictorial murals, the Inka style was severe, abstract, stripped down to geometric forms—startlingly contemporary, in fact. (According to the Peruvian critic C?sar Paternosto, such major twentieth-century painters as Josef Albers, Barnett Newman, and Mark Rothko were inspired by Inka art.) Inka masonry amazed the conquistadors, who could not understand how they put together such enormous stones without mortar or draft animals. And it was astonishingly durable—the U.S. explorer Hiram Bingham photographed the citadel of Machu Piqchu in 1913, and found it in near-perfect condition despite four centuries of neglect. At the heart of the new Qosqo was the plaza of Awkaypata, 625 feet by 550 feet, carpeted almost in its entirety with white sand carried in from the Pacific and raked daily by the city’s army of workers. Monumental villas and temples surrounded the space on three sides, their walls made from immense blocks of stone so precisely cut and fit that Pizarro’s younger cousin Pedro, who accompanied the conqueror as a page, reported “that the point of a pin could not have been inserted in one of the joints.” Across their facades ran enormous plates of polished gold. When the alpine sun filled Awkaypata, with its boldly delineated horizontal plain of white sand and sloping sheets of gold, the space became an amphitheater for the exaltation of light. In Pachakuti’s grand design, Awkaypata was the center of the empire—and the cosmos. From the great plaza radiated four highways that demarcated the four asymmetrical sectors into which he divided the empire, Tawantinsuyu, “Land of the Four Quarters.” To the Inka, the quarters echoed the heavenly order. The Milky Way, a vast celestial river in Andean cosmology, crosses the Peruvian sky at an angle of about twenty-eight degrees to the earth’s orbit. For six months the stream of stars slants across the sky from, so to speak, northeast to southwest; the other six months it slants from southeast to northwest. The transition roughly coincides with the transition between dry and wet seasons—the time when the Milky Way releases life-giving water to PachaMama, Mother Earth—and divides the heavens into four quarters. Awkaypata, reflecting this pattern, was the axis of the universe. Not only that, Qosqo was the center of a second spiritual pattern. Radiating out from Awkaypata was a drunken spiderweb of forty-one crooked, spiritually powerful lines, known as zeq’e, that linked holy features of the landscape: springs, tombs, caves, shrines, fields, stones. About four hundred of these wak’a (shrines, more or less) existed around Qosqo—the landscape around the capital was charged with telluric power. (The zeq’e also played a role in the Inka calendar, which apparently consisted of forty-one eight-day weeks.) So complexly interrelated was the network of wak’a and zeq’e, Columbia University archaeologist Terence D’Altroy has written, “that many otherwise diligent scholars have been reduced to scratching their heads and trusting someone else’s judgement.” Each wak’a had its own meaning, relative status, social affiliation, and set of ceremonial uses. One big stone outside town was believed to be the petrified body of one of the original Inka brothers; Inka armies often carried it with them, dressed in fine togs, as a kind of good-luck talisman. To keep track of the florid abundance of shrines and lines, Cobo observed, the empire “had more than a thousand men in the city of Qosqo who did nothing but remember these things.” Around the Inka capital of Qosqo (modern Cusco) were more than four hundred wak’a, places in the landscape charged with spiritual power. Many of these were stones, some carved in elaborate representations, perhaps of the areas they influenced. Not only did Pachakuti reconfigure the capital, he laid out the institutions that characterized Tawantinsuyu itself. For centuries, villagers had spent part of their time working in teams on community projects. Alternately bullying and cajoling, Pachakuti expanded the service obligation unrecognizably. In Tawantinsuyu, he decreed, all land and property belonged to the state (indeed, to the Inka himself). Peasants thus had to work periodically for the empire as farmers, herders, weavers, masons, artisans, miners, or soldiers. Often crews spent months away from home. While they were on the road, the state fed, clothed, and housed them—all from goods supplied by other work crews. Conscripts built dams, terraces, and irrigation canals; they grew crops on state land and raised herds on state pastures and made pots in state factories and stocked hundreds of state warehouses; they paved the highways and supplied the runners and llamas carrying messages and goods along them. Dictatorially extending Andean verticality, the imperium shuttled people and materiel in and out of every Andean crevice. Not the least surprising feature of this economic system was that it functioned without money. True, the lack of currency did not surprise the Spanish invaders—much of Europe did without money until the eighteenth century. But the Inka did not even have markets. Economists would predict that this nonmarket economy—vertical socialism, it has been called—should produce gross inefficiencies. These surely occurred, but the errors were of surplus, not want. The Spanish invaders were stunned to find warehouses overflowing with untouched cloth and supplies. But to the Inka the brimming coffers signified prestige and plenty; it was all part of the plan. Most important, Tawantinsuyu “managed to eradicate hunger,” the Peruvian novelist Mario Vargas Llosa noted. Though no fan of the Inka, he conceded that “only a very small number of empires throughout the whole world have succeeded in achieving this feat.” When Tawantinsuyu swallowed a new area, the Inka forcibly imported settlers from other, faraway areas, often in large numbers, and gave them land. The newcomers were encouraged to keep their own dress and customs rather than integrate into the host population. To communicate, both groups were forced to use Ruma Suni, the language of their conquerors. In the short run this practice created political tensions that the Inka manipulated to control both groups. In the long term it would have (if successful) eroded the distinctions among cultures and forged a homogeneous new nation in the imprint of Tawantinsuyu. Five centuries later the wholesale reshuffling of populations became an infamous trademark of Stalin and Mao. But the scale on which the Inka moved the pieces around the ethnic checkerboard would have excited their admiration. Incredibly, foreigners came to outnumber natives in many places. It is possible that ethnic clashes would eventually have caused Tawantinsuyu to implode, Yugoslavia-style. But if Pizarro had not interrupted, the Inka might have created a monolithic culture as enduring as China. THE GILDED LITTER OF THE INKA How did Pizarro do it? Sooner or later, everyone who studies the Inka confronts this question. Henry Dobyns wondered about it, too. The empire was as populous, rich, and well organized as any in history. But no other fell before such a small force: Pizarro had only 168 men and 62 horses. Researchers have often wondered whether the Inka collapse betokens a major historical lesson. The answer is yes, but the lesson was not grasped until recently. The basic history of the empire was known well enough by the time Dobyns began reading the old colonial accounts. According to Cabello Balboa’s chronology, Pachakuti died peacefully in 1471. His son Thupa Inka, long the military commander, now took the imperial “crown”—a multicolored braid, twisted around the skull like a headband, from which hung a red tasseled fringe that fell across the forehead. Carried on a golden litter—the Inka did not walk in public—Thupa Inka appeared with such majesty, according to the voyager Pedro Sarmiento de Gamboa, that “people left the roads along which he had to pass and, ascending the hills on either side, worshipped and adored” him by “pulling out their eyebrows and eyelashes.” Minions collected and stored every object he touched, food waste included, to ensure that no lesser persons could profane these objects with their touch. The ground was too dirty to receive the Inka’s saliva so he always spat into the hand of a courtier. The courtier wiped the spittle with a special cloth and stored it for safekeeping. Once a year everything touched by the Inka—clothing, garbage, bedding, saliva—was ceremonially burned. Thupa Inka inaugurated the Inka custom of marrying his sister. In fact, Thupa Inka may have married two of his sisters. The practice was genetically unsound but logically consistent. Only close relatives of the Inka were seen as of sufficient purity to produce his heir. As Inkas grew in grandeur, more purity was required. Finally only a sister would do. The Inka’s sister-wives accompanied him on military forays, along with a few hundred or thousand of his subordinate wives. The massive scale of these domestic arrangements seems not to have impeded his imperial progress. By his death in 1493, Thupa Inka had sent his armies deep into Ecuador and Chile, doubling the size of Tawantinsuyu again. In terms of area conquered during his lifetime, he was in the league of Alexander the Great and Genghis Khan. TAWANTINSUYU Expansion of the Inka Empire, 1438–1527 A.D. Tawantinsuyu is known to have risen and fallen with breathtaking rapidity, but the exact chronology of its trajectory is disputed. Most researchers regard the account of Miguel Cabello Balboa as approximately correct. It is the source for this map, though the reader is cautioned against regarding it as either exact or universally accepted. Thupa Inka’s death set off a fight for the royal fringe. Tawantinsuyu did not have strict succession rules. Instead the Inka selected the son he thought most qualified. Thupa Inka had more than sixty sons from all of his wives, according to Sarmiento de Gamboa, so he had a lot of choice. Alas, Thupa Inka apparently selected one son but then changed his mind on his deathbed and selected another. Factions formed around each son, leading to a mel?e. The first son was banished or killed and the second took the name Wayna Qhapaq (Why-na Ka-pok) and became the Inka. Because the new Inka was still a teenager (his name means “Munificent Youth”), two of his uncles served as regents. One uncle tried to usurp power but was killed by the other. Eventually the Inka grew old enough to take the reins. Among his first official acts was killing two of his own brothers to avoid future family problems. Then he, like his father, married his sister. Wayna Qhapaq was not a military adventurer like his father. He initially seems to have viewed his role mainly as one of consolidation, rather than conquest, perhaps because Tawantinsuyu was approaching the geographic limits of governability—communication down the long north-south spine of the empire was stretched to the limit. Much of Wayna Qhapaq’s time was devoted to organizing the empire’s public works projects. Often these were more political than practical. Because the Inka believed that idleness fomented rebellion, the Spanish traveler Pedro Cieza de Le?n reported, he ordered unemployed work brigades “to move a mountain from one spot to another” for no practical purpose. Cieza de Le?n once came upon three different highways running between the same two towns, each built by a different Inka. Consolidation was completed in about 1520. Wayna Qhapaq then marched to Ecuador at the head of an army, intending to expand the empire to the north. It was a journey of return: he had been born in southern Ecuador during one of his father’s campaigns. He himself brought with him one of his teenage sons, Atawallpa. When Wayna Qhapaq came to his birthplace, the city now called Cuenca, Cobo reported, “he commanded that a magnificent palace be constructed for himself.” Wayna Qhapaq liked his new quarters so much that he stayed on while Atawallpa and his generals went out to subjugate a few more provinces. In 1615, the Inka writer Felipe Guam?n Poma de Ayala presented his life’s work, a massive history of Inka society with four hundred drawings, to King Philip II of Spain, hoping that the king would use it to learn more about his new subjects. Whether Philip ever saw the manuscript is unknown, but Poma de Ayala’s work—one of the few non-European accounts of Inka life—is now a fundamental scholarly source. Although the portraits here are not taken from life, they hint at how the Inka viewed and remembered their leaders. They did not meet with success. The peoples of the wet equatorial forests did not belong to the Andean culture system and were not interested in joining. They fought ferociously. Caught by an ambush, Atawallpa was forced to retreat. Enraged by this failure, Cobo wrote, Wayna Qhapaq “prepared himself as quickly as possible to go in person and avenge this disgrace.” He left his pleasure palace and publicly berated Atawallpa at the front. In a renewed offensive, the army advanced under the Inka’s personal command. Bearing clubs, spears, bows, lances, slings, and copper axes, brilliant in cloaks of feathers and silver breastplates, their faces painted in terrifying designs, the Inka army plunged into the forests of the northern coast. They sang and shouted in unison as they fought. The battle seesawed until a sudden counterattack knocked Wayna Qhapaq out of his litter—a humiliation. Nearly captured by his foes, he was forced to walk like a plebe back to his new palace. The Inka army regrouped and returned. After prolonged struggle it subjugated its foes. Finding the warm Ecuadorian climate more to his liking than that of chilly Qosqo, Wayna Qhapaq delayed his triumphal return for six years. Wearing soft, loose clothing of vampire-bat wool, he swanned around his palaces with a bowl of palm wine or chicha, a sweet, muddy, beer-like drink usually made from crushed maize. “When his captains and chief Indians asked him how, though drinking so much, he never got intoxicated,” reported Pizarro’s younger cousin and page, Pedro, “they say that he replied that he drank for the poor, of whom he supported many.” In 1525 Wayna Qhapaq suddenly got sick and expired in his Ecuadorian retreat. Once again the succession was contested and bloody. Details are murky, but on his deathbed the Inka seems to have passed over Atawallpa, who had not distinguished himself, and designated as his heir a son named Ninan K’uychi. Unluckily, Ninan K’uychi died of the same illness right before Wayna Qhapaq. The Inka’s next pick was a nineteen-year-old son who had stayed behind in Qosqo. As was customary, high priests subjected this choice to a divination. They learned that this son would be dreadfully unlucky. The priest who reported this unhappy result to Wayna Qhapaq found him dead. In consequence, the court nobles were left to choose the emperor. They settled on the teenager who had been the Inka’s final choice. The teenager’s principal qualification for the post was that his mother was Wayna Qhapaq’s sister. Nonetheless, he had no doubts about crowning himself immediately—he didn’t even wait to find out if Wayna Qhapaq had left any instructions or last wishes. The new Inka took the name Washkar Inka (“Golden Chain Inka”). Atawallpa remained in Ecuador, ostensibly because he was unable to show his face after being berated by his father, but presumably also because he knew that the life expectancy of Inka brothers tended to be short. Meanwhile, Wayna Qhapaq’s mummified body was dressed in fine clothing and taken back to Qosqo on a gold litter bedecked with feathers. Along the way, the dead emperor’s executors, four high-ranking nobles, schemed to depose and murder Washkar and install yet another son in his place. Something aroused Washkar’s suspicions as the party neared Qosqo—perhaps his discovery that Atawallpa had stayed in Ecuador with most of the Inka army, perhaps a tipoff from a loyal uncle whom the conspirators had approached. After staging a grand funeral for his father, Washkar ordered the executors to meet him one at a time, which provided the occasion to arrest them. Torture and execution followed. The plot circumvented, Washkar went to work eliminating any remaining objections to his accession. Because Wayna Qhapaq had not actually married Washkar’s mother—the union was properly incestuous but not properly legitimate—the new Inka demanded that his mother participate ex post facto in a wedding ceremony with his father’s mummy. Even for the Andes this was an unusual step. Washkar further solidified his credentials as ruler by marrying his sister. According to the unsympathetic account of Cabello Balboa, Washkar’s mother, who was apparently willing to marry her dead brother, objected to her son’s plan to marry her daughter. The ceremony took place only after “much begging and supplication.” Civil war was probably unavoidable. Egged on by scheming courtiers and generals, relations between Atawallpa and Washkar spent several years swinging through the emotional valence from concealed suspicion to overt hostility. Washkar, in Qosqo, had the machinery of the state at his disposal; in addition, his claim to the fringe was generally accepted. Atawallpa, in Ecuador, had a war-tested army and the best generals but a weaker claim to the throne (his mother was merely his father’s cousin, not his sister). The war lasted for more than three years, seesawed across the Andes, and was spectacularly brutal. Washkar’s forces seized the initial advantage, invading Ecuador and actually capturing Atawallpa, almost tearing off one of his ears in the process. In a sequence reminiscent of Hollywood, one of Atawallpa’s wives supposedly smuggled a crowbar-like tool into his improvised battlefield prison (his intoxicated guards permitted a conjugal visit). Atawallpa dug his way out, escaped to Ecuador, reassembled his army, and drove his foes south. On a plateau near today’s Peru-Ecuador border the northern forces personally led by Atawallpa shattered Washkar’s army. A decade later Cieza de Le?n saw the battleground and from the wreckage and unburied remains thought the dead could have numbered sixteen thousand. The victors captured and beheaded Washkar’s main general. Atawallpa mounted a bowl atop the skull, inserted a spout between the teeth, and used it as a cup for his chicha. With the momentum of war turning against him, Washkar left Qosqo to lead his own army. Atawallpa sent his forces ahead to meet it. After a horrific battle (Cieza de Le?n estimated the dead at thirty-five thousand), Washkar was captured in an ambush in the summer of 1532. Atawallpa’s generals took the Inka as a captive to Qosqo and executed his wives, children, and relatives in front of him. Meanwhile, Atawallpa’s triumphant cavalcade, perhaps as many as eighty thousand strong, slowly promenaded to Qosqo. In October or November 1532, the victors stopped outside the small city of Cajamarca, where they learned that pale, hairy people who sat on enormous animals had landed on the coast. No matter how many times what happened next has been recounted, it has not lost its power to shock: how the curious Atawallpa decided to wait for the strangers’ party to arrive; how Pizarro, for it was he, persuaded Atawallpa to visit the Spaniards in the central square of Cajamarca, which was surrounded on three sides by long, empty buildings (the town apparently had been evacuated for the war); how on November 16, 1532, the emperor-to-be came to Cajamarca in his gilded and feather-decked litter, preceded by a squadron of liveried men who swept the ground and followed by five or six thousand troops, almost all of whom bore only ornamental, parade-type weapons; how Pizarro hid his horses and cannons just within the buildings lining the town square, where the 168 Spanish awaited the Inka with such fear, Pedro Pizarro noted, that many “made water without knowing it out of sheer terror”; how a Spanish priest presented Atawallpa with a travel-stained Christian breviary, which the Inka, to whom it literally meant nothing, impatiently threw aside, providing the Spanish with a legal fig leaf for an attack (desecrating Holy Writ); how the Spanish, firing cannons, wearing armor, and mounted on horses, none of which the Indians had ever seen, suddenly charged into the square; how the Indians were so panicked by the smoke and fire and steel and charging animals that in trying to flee hundreds trampled each other to death (“they formed mounds and suffocated one another,” one conquistador wrote); how the Spanish took advantage of the soldiers’ lack of weaponry to kill almost all the rest; how the native troops who recovered from their initial surprise desperately clustered around Atawallpa, supporting his litter with their shoulders even after Spanish broadswords sliced off their hands; how Pizarro personally dragged down the emperor-to-be and hustled him through the heaps of bodies on the square to what would become his prison. Pizarro exulted less in victory than one might imagine. A self-made man, the illiterate, illegitimate, neglected son of an army captain, he ached with dreams of wealth and chivalric glory despite the fortune he had already acquired in the Spanish colonies. After landing in Peru he realized that his tiny force was walking into the maw of a powerful empire. Even after his stunning triumph in Cajamarca he remained torn between fear and ambition. For his part, Atawallpa observed the power of Inka gold and silver to cloud European minds. *9 Precious metals were not valuable in the same way in Tawantinsuyu, because there was no currency. To the Inka ruler, the foreigners’ fascination with gold apparently represented his best chance to manipulate the situation to his advantage. He offered to fill a room twenty-two feet by seventeen feet full of gold objects—and two equivalent rooms with silver—in exchange for his freedom. Pizarro quickly agreed to the plan. Atawallpa, still in command of the empire, ordered his generals to strip Qosqo of its silver and gold. Not having lived in the city since childhood, he had little attachment to it. He also told his men to slay Washkar, whom they still held captive; all of Washkar’s main supporters; and, while they were at it, all of Atawallpa’s surviving brothers. After his humiliating captivity ended, Atawallpa seems to have believed, the ground would be clear for his rule. Between December 1532 and May 1533, caravans of precious objects—jewelry, fine sculptures, architectural ornamentation—wended on llama-back to Cajamarca. As gold and silver slowly filled the rooms, all of Tawantinsuyu seemed frozen. It was as if someone had slipped into the Kremlin in 1950 and held Stalin at gunpoint, leaving the nation, accustomed to obeying a tyrant, utterly rudderless. Meanwhile, the waiting Spanish, despite their unprecedented success, grew increasingly fearful and suspicious. When Atawallpa fulfilled his half of the bargain and the ransom was complete Pizarro melted everything into ingots and shipped them to Spain. The conquistadors did not follow through on their part of the deal. Rather than releasing Atawallpa, they garroted him. Then they marched to Qosqo. Almost at a stroke, just 168 men had dealt a devastating blow to the greatest empire on earth. To be sure, their victory was nowhere near complete: huge, bloody battles still lay ahead. Even after the conquistadors seized Qosqo, the empire regrouped in the hinterlands, where it fought off Spanish forces for another forty years. Yet the scale of Pizarro’s triumph at Cajamarca cannot be gainsaid. He had routed a force fifty times larger than his own, won the greatest ransom ever seen, and vanquished a cultural tradition that had lasted five millennia—all without suffering a single casualty. VIRGIN SOIL I have just pulled a fast one. The Inka history above is as contemporary scholars understand it. They disagree on which social factors to emphasize and on how much weight to assign individual Spanish chronicles, but the outline seems not in serious dispute. The same is not true of my rendering of Pizarro’s conquest. I presented what is more or less the account current when Dobyns arrived in Peru. But in his reading he discovered a hole in this version of events—a factor so critical that it drastically changed Dobyns’s view of native America. Why did the Inka lose? The usual answer is that Pizarro had two advantages: steel (swords and armor, rifles and cannons) and horses. The Indians had no steel weapons and no animals to ride (llamas are too small to carry grown men). They also lacked the wheel and the arch. With such inferior technology, Tawantinsuyu had no chance. “What could [the Inka] offer against this armory?” asked John Hemming, the conquest historian. “They were still fighting in the bronze age.” The Inka kept fighting after Atawallpa’s death. But even though they outnumbered the Europeans by as much as a hundred to one, they always lost. “No amount of heroism or discipline by an Inka army,” Hemming wrote, “could match the military superiority of the Spaniards.” But just as guns did not determine the outcome of conflict in New England, steel was not the decisive factor in Peru. True, anthropologists have long marveled that Andean societies did not make steel. Iron is plentiful in the mountains, yet the Inka used metal for almost nothing useful. In the late 1960s, Heather Lechtman, an archaeologist at the MIT Center for Materials Research in Archaeology and Ethnology, suggested to “an eminent scholar of Andean prehistory that we take a serious and careful look at Andean metallurgy.” He responded, “But there wasn’t any.” Lechtman went and looked anyway. She discovered that Inka metallurgy was, in fact, as refined as European metallurgy, but that it had such different goals that academic experts had not even recognized it. According to Lechtman, Europeans sought to optimize metals’ “hardness, strength, toughness, and sharpness.” The Inka, by contrast, valued “plasticity, malleability, and toughness.” Europeans used metal for tools. Andean societies primarily used it as a token of wealth, power, and community affiliation. European metalworkers tended to create metal objects by pouring molten alloys into shaped molds. Such foundries were not unknown to the Inka, but Andean societies vastly preferred to hammer metal into thin sheets, form the sheets around molds, and solder the results. The results were remarkable by any standard—one delicate bust that Lechtman analyzed was less than an inch tall but made of twenty-two separate gold plates painstakingly joined. If a piece of jewelry or a building ornament was to proclaim its owner’s status, as the Inka desired, it needed to shine. Luminous gold and silver were thus preferable to dull iron. Because pure gold and silver are too soft to hold their shape, Andean metalworkers mixed them with other metals, usually copper. This strengthened the metal but turned it an ugly pinkish-copper color. To create a lustrous gold surface, Inka smiths heated the copper-gold alloy, which increases the rate at which the copper atoms on the surface combine with oxygen atoms in the air—it makes the metal corrode faster. Then they pounded the hot metal with mallets, making the corrosion flake off the outside. By repeating this process many times, they removed the copper atoms from the surface of the metal, creating a veneer of almost pure gold. Ultimately the Inka ended up with strong sheets of metal that glittered in the sun. Andean cultures did make tools, of course. But rather than making them out of steel, they preferred fiber. The choice is less odd than it may seem. Mechanical engineering depends on two main forces: compression and tension. Both are employed in European technology, but the former is more common—the arch is a classic example of compression. By contrast, tension was the Inka way. “Textiles are held together by tension,” William Conklin, a research associate at the Textile Museum in Washington, D.C., told me. “And they exploited that tension with amazing inventiveness and precision.” In the technosphere of the Andes, Lechtman explained, “people solved basic engineering problems through the manipulation of fibers,” not by creating and joining hard wooden or metal objects. To make boats, Andean cultures wove together reeds rather than cutting up trees into planks and nailing them together. Although smaller than big European ships, these vessels were not puddle-muddlers; Europeans first encountered Tawantinsuyu in the form of an Inka ship sailing near the equator, three hundred miles from its home port, under a load of fine cotton sails. It had a crew of twenty and was easily the size of a Spanish caravelle. Famously, the Inka used foot-thick cables to make suspension bridges across mountain gorges. Because Europe had no bridges without supports below, they initially terrified Pizarro’s men. Later one conquistador reassured his countrymen that they could walk across these Inka inventions “without endangering themselves.” Andean textiles were woven with great precision—elite garments could have a thread count of five hundred per inch—and structured in elaborate layers. Soldiers wore armor made from sculpted, quilted cloth that was almost as effective at shielding the body as European armor and much lighter. After trying it, the conquistadors ditched their steel breastplates and helmets wholesale and dressed like Inka infantry when they fought. Although Andean troops carried bows, javelins, maces, and clubs, their most fearsome weapon, the sling, was made of cloth. A sling is a woven pouch attached to two strings. The slinger puts a stone or slug in the pouch, picks up the strings by the free ends, spins them around a few times, and releases one of the strings at the proper moment. Expert users could hurl a stone, the Spanish adventurer Alonso Enr?quez de Guzm?n wrote, “with such force that it will kill a horse…. I have seen a stone, thus hurled from a sling, break a swordin two pieces when it was held in a man’s hand at a distance of thirty paces.” (Experimenting with a five-foot-long, Andean-style sling and an egg-sized rock from my garden, I was able, according to my rough calculation, to throw the stone at more than one hundred miles per hour. My aim was terrible, though.) In a frightening innovation, the Inka heated stones in campfires until they were red hot, wrapped them in pitch-soaked cotton, and hurled them at their targets. The cotton caught fire in midair. In a sudden onslaught the sky would rain burning missiles. During a counterattack in May 1536 an Inka army used these missiles to burn Spanish-occupied Qosqo to the ground. Unable to step outside, the conquistadors cowered in shelters beneath a relentless, weeks-long barrage of flaming stone. Rather than evacuate, the Spanish, as brave as they were greedy, fought to the end. In a desperate, last-ditch counterattack, the Europeans eked out victory. More critical than steel to Pizarro’s success was the horse. The biggest animal in the Andes during Inka times was the llama, which typically weighs three hundred pounds. Horses, four times as massive, were profoundly, terribly novel. Add to this the shock of observing humans somehow astride their backs like half-bestial nightmare figures and it is possible to imagine the dismay provoked by Pizarro’s cavalry. Not only did Inka infantrymen have to overcome their initial stupefaction, their leaders had to reinvent their military tactics while in the midst of an invasion. Mounted troops were able to move at rates never encountered in Tawantinsuyu. “Even when the Indians had posted pickets,” Hemming observed, “the Spanish cavalry could ride past them faster than the sentries could run back to warn of danger.” In clash after clash, “the dreaded horses proved invincible.” But horses are not inherently unbeatable; the Inka simply did not discover quickly enough where they had an advantage: on their roads. The conquistadors disparaged steep Inka highways because they had been designed for sure-footed llamas rather than horses. But they were beautifully made—this road, photographed in the 1990 s, had lasted more than five hundred years without maintenance. European-style roads, constructed with horses and cars in mind, view flatness as a virtue; to go up a steep hill, they use switchbacks to make the route as horizontal as possible. Inka roads, by contrast, were built for llamas. Llamas prefer the coolness of high altitudes and, unlike horses, readily go up and down steps. As a result, Inka roads eschewed valley bottoms and used long stone stairways to climb up steep hills directly—brutal on horses’ hooves, as the conquistadors often complained. Traversing the foothills to Cajamarca, Francisco Pizarro’s younger brother Hernando lamented that the route, a perfectly good Inka highway, was “so bad” that the Spanish “could not use horses on the roads, not even with skill.” Instead the conquistadors had to dismount and lead their reluctant animals through the steps. At that point they were vulnerable. Late in the day, Inka soldiers learned to wait above and roll boulders on their foes, killing some of the animals and frightening others into running away. Men left behind could be picked off at leisure. Multiple ambushes cost the lives of many Spanish troops and animals. To be sure, horses confer an advantage on flat ground. But even on the plains the Inka could have won. Foot soldiers have often drubbed mounted troops. At the battle of Marathon in 490 B.C., the outnumbered, outarmored Athenian infantry destroyed the cavalry of the Persian emperor Darius I. More than six thousand Persians died; the Greeks lost fewer than two hundred men. So dire had the situation initially appeared that before the fight Athens sent a messenger to Sparta, its hated rival, to beg for aid. In the original marathon, the courier ran more than a hundred miles in two days to deliver his message. But by the time the Spartan reinforcements arrived, there was nothing to see but dead Persians. The Inka losses were not foreordained. Their military was hampered by the cult of personality around its deified generals, which meant both that leaders were not easily replaced when they were killed or captured and that innovation in the lower ranks was not encouraged. And the army never learned to bunch its troops into tight formations, as the Greeks did at Marathon, forming human masses that can literally stand up to cavalry. Nonetheless, by the time of the siege of Qosqo the Inka had developed an effective anti-cavalry tactic: bolas. The Inka bola consisted of three stones tied to lengths of llama tendon. Soldiers threw them, stones a-whirl, at charging horses. The weapons wrapped themselves around the animals’ legs and brought them down to be killed by volleys of sling missiles. Had the bolas come in massed, coordinated onslaughts instead of being wielded by individual soldiers as they thought opportune, Pizarro might well have met his match. If not technology or the horse, what defeated the Inka? As I said, some of the blame should be heaped on the overly centralized Inka command structure, a problem that has plagued armies throughout time. But another, much larger part of the answer was first stated firmly by Henry Dobyns. During his extracurricular reading about Peru, he came across a passage by Pedro Cieza de Le?n, the Spanish traveler who observed three roads between the same two cities. Entranced by the first exhibition of Inka booty in Spain, Cieza de Le?n had crossed the Atlantic as a teenager and spent fifteen years in Peru, Bolivia, Ecuador, and Colombia, traveling, fighting, and taking notes for what would become a massive, three-volume survey of the region. Only the first part was printed in his lifetime, but by the twentieth century historians had found and published most of the rest. Dobyns learned something from Cieza de Le?n that was not mentioned in Prescott’s history, in the Smithsonian’s official Handbook of South American Indians, or in any of the then-standard descriptions of Tawantinsuyu. According to Cieza de Le?n, Wayna Qhapaq, Atawallpa’s father, died when “a great plague of smallpox broke out [in 1524 or 1525], so severe that more than 200,000 died of it, for it spread to all parts of the kingdom.” Smallpox not only killed Wayna Qhapaq, it killed his son and designated heir—and his brother, uncle, and sister-wife. The main generals and much of the officer corps died, wrote the Inka chronicler Santacruz Pachacuti Yamqui Salcamayhua, “all their faces covered with scabs.” So did the two regents left in Qosqo by Wayna Qhapaq to administer the empire. After the dying Wayna Qhapaq locked himself away so that nobody could see his pustulous face, Salcamayhua reported, he was visited by a terrifying midnight vision. Surrounding him in his dream were “millions upon millions of men.” The Inka asked who they were. “Souls of the lost,” the multitude told him. All of them “would die from the pestilence,” each and every one. The story is probably apocryphal, but its import isn’t. Smallpox has an incubation period of about twelve days, during which time sufferers, who may not know they are sick, can infect anyone they meet. With its fine roads and great population movements, Tawantinsuyu was perfectly positioned for a major epidemic. Smallpox radiated throughout the empire like ink spreading through tissue paper. Millions of people simultaneously experienced its symptoms: high fever, vomiting, severe pain, oozing blisters everywhere on the body. Unable to number the losses, the Jesuit Mart?n de Mur?a said only that the toll was “infinite thousands.” The smallpox virus is thought to have evolved from a cattle virus that causes cowpox; a now-extinct equine virus responsible for horsepox; or, perhaps most likely, the camelpox virus, which affects camels, as the name suggests. People who survive the disease become immune to it. In Europe, the virus was such a constant presence that most adults were immune. Because the Western Hemisphere had no cows, horses, or camels, smallpox had no chance to evolve there. Indians had never been exposed to it—they were “virgin soil,” in epidemiological jargon. Virgin-soil death rates for smallpox are hard to establish because for the last century most potential research subjects have been vaccinated. But a study in the early 1960s of seven thousand unvaccinated smallpox cases in southern India found that the disease killed 43 percent of its victims. Noting the extreme vulnerability of Andean populations—they would not even have known to quarantine victims, as Europeans had—Dobyns hypothesized that the empire’s population “may well have been halved during this epidemic.” In about three years, that is, as many as one out of two people in Tawantinsuyu died. The human and social costs are beyond measure. Such overwhelming traumas tear at the bonds that hold cultures together. The epidemic that struck Athens in 430 B.C., Thucydides reported, enveloped the city in “a great degree of lawlessness.” The people “became contemptuous of everything, both sacred and profane.” They joined ecstatic cults and allowed sick refugees to desecrate the great temples, where they died untended. A thousand years later the Black Death shook Europe to its foundations. Martin Luther’s rebellion against Rome was a grandson of the plague, as was modern anti-Semitism. Landowners’ fields were emptied by death, forcing them either to work peasants harder or pay more to attract new labor. Both choices led to social unrest: the Jacquerie (France, 1358), the Revolt of Ciompi (Florence, 1378), the Peasants’ Revolt (England, 1381), the Catalonian Rebellion (Spain, 1395), and dozens of flare-ups in the German states. Is it necessary to spell out that societies mired in fratricidal chaos are vulnerable to conquest? To borrow a trope from the historian Alfred Crosby, if Genghis Khan had arrived with the Black Death, this book would not be written in a European language. As for Tawantinsuyu, smallpox wiped out Wayna Qhapaq and his court, which led to civil war as the survivors contested the spoils. The soldiers who died in the battle between Atawallpa and Washkar were as much victims of smallpox as those who died from the virus itself. The ferocity of the civil war was exacerbated by the epidemic’s impact on a peculiarly Andean institution: royal mummies. People in Andean societies viewed themselves as belonging to family lineages. (Europeans did, too, but lineages were more important in the Andes; the pop-cultural comparison might be The Lord of the Rings, in which characters introduce themselves as “X, son of Y” or “A, of B’s line.”) Royal lineages, called panaqa, were special. Each new emperor was born in one panaqa but created a new one when he took the fringe. To the new panaqa belonged the Inka and his wives and children, along with his retainers and advisers. When the Inka died his panaqa mummified his body. Because the Inka was believed to be an immortal deity, his mummy was treated, logically enough, as if it were still living. Soon after arriving in Qosqo, Pizarro’s companion Miguel de Estete saw a parade of defunct emperors. They were brought out on litters, “seated on their thrones and surrounded by pages and women with flywhisks in their hands, who ministered to them with as much respect as if they had been alive.” Because the royal mummies were not considered dead, their successors obviously could not inherit their wealth. Each Inka’s panaqa retained all of his possessions forever, including his palaces, residences, and shrines; all of his remaining clothes, eating utensils, fingernail parings, and hair clippings; and the tribute from the land he had conquered. In consequence, as Pedro Pizarro realized, “the greater part of the people, treasure, expenses, and vices [in Tawantinsuyu] were under the control of the dead.” The mummies spoke through female mediums who represented the panaqa’s surviving courtiers or their descendants. With almost a dozen immortal emperors jostling for position, high-level Inka society was characterized by ramose political intrigue of a scale that would have delighted the Medici. Emblematically, Wayna Qhapaq could not construct his own villa on Awkaypata—his undead ancestors had used up all the available space. Inka society had a serious mummy problem. After smallpox wiped out much of the political elite, each panaqa tried to move into the vacuum, stoking the passions of the civil war. Different mummies at different times backed different claimants to the Inka throne. After Atawallpa’s victory, his panaqa took the mummy of Thupa Inka from its palace and burned it outside Qosqo—burned it alive, so to speak. And later Atawallpa instructed his men to seize the gold for his ransom as much as possible from the possessions of another enemy panaqa, that of Pachacuti’s mummy. Washkar’s panaqa kept the civil war going even after his death (or, rather, nondeath). While Atawallpa was imprisoned, Washkar’s panaqa sent one of his younger brothers, Thupa Wallpa, to Cajamarca. In a surreptitious meeting with Pizarro, Thupa Wallpa proclaimed that he was Washkar’s legitimate heir. Pizarro hid him in his own quarters. Soon afterward, the lord of Cajamarca, who had backed Washkar in the civil war, told the Spanish that Atawallpa’s army was on the move, tens of thousands strong. Its generals planned to attack Pizarro, he said, and free the emperor. Atawallpa denied the charge, truthfully. Pizarro nonetheless ordered him to be bound. Some of the Spaniards most sympathetic to Atawallpa asked to investigate. Soon after they left, two Inka ran to Pizarro, claiming that they had just fled from the invading army. Pizarro hurriedly convoked a military tribunal, which quickly sentenced the Inka to execution—the theory apparently being that the approaching army would not attack if its leader were dead. Too late the Spanish expedition came back to report that no Inka army was on the move. Thupa Wallpa emerged from hiding and was awarded the fringe as the new Inka. The execution, according to John Rowe, the Berkeley archaeologist, was the result of a conspiracy among Pizarro, Thupa Wallpa, and the lord of Cajamarca. By ridding himself of Atawallpa and taking on Thupa Wallpa, Rowe argued, Pizarro “had exchanged an unwilling hostage for a friend and ally.” In fact, Thupa Wallpa openly swore allegiance to Spain. To him, the oath was a small price to pay; by siding with Pizarro, Washkar’s panaqa, “which had lost everything, had a chance again.” Apparently the new Inka hoped to return with Pizarro to Qosqo, where he might be able to seize the wheel of state. After that, perhaps, he could wipe out the Spaniards. Although Andean societies have been buffeted by disease and economic exploitation since the arrival of Europeans, indigenous tradition remained strong enough that this chicha seller in Cuzco, photographed by Mart?n Chambi in 1921, might have seemed unremarkable in the days of the Inka. On the way to Qosqo, Pizarro met his first important resistance near the river town of Hatun Xauxa, which had been overrun by Atawallpa’s army during the civil war. The same force had returned there to battle the Spanish. But the Inka army’s plan to burn down the town and prevent the invaders from crossing the river was foiled by the native Xauxa and Wanka populace, which had long resented the empire. Not only did they fight the Inka, they followed the old adage about the enemy of my enemy being my friend and actually furnished supplies to Pizarro. After the battle Thupa Wallpa suddenly died—so suddenly that many Spaniards believed he had been poisoned. The leading suspect was Challcochima, one of Atawallpa’s generals, whom Pizarro had captured at Cajamarca and brought along on his expedition to Qosqo. Challcochima may not have murdered Thupa Wallpa, but he certainly used the death to try to persuade Pizarro that the next Inka should be one of Atawallpa’s sons, not anyone associated with Washkar. Meanwhile, Washkar’s panaqa sent out yet another brother, Manqo Inka. He promised that if he were chosen to succeed Thupa Wallpa he would swear the same oath of allegiance to Spain. In return, he asked Pizarro to kill Challcochima. Pizarro agreed and the Spaniards publicly burned Challcochima to death in the main plaza of the next town they came to. Then they rode toward Qosqo. To Dobyns, the moral of this story was clear. The Inka, he wrote in his 1963 article, were not defeated by steel and horses but by disease and factionalism. In this he was echoing conclusions drawn centuries before by Pedro Pizarro. Had Wayna Qhapaq “been alive when we Spaniards entered this land,” the conquistador remarked, “it would have been impossible for us to win it…. And likewise, had the land not been divided by the [smallpox-induced civil] wars, we would not have been able to enter or win the land.” Pizarro’s words, Dobyns realized, applied beyond Tawantinsuyu. He had studied demographic records in both Peru and southern Arizona. In both, as in New England, epidemic disease arrived before the first successful colonists. When the Europeans actually arrived, the battered, fragmented cultures could not unite to resist the incursion. Instead one party, believing that it was about to lose the struggle for dominance, allied with the invaders to improve its position. The alliance was often successful, in that the party gained the desired advantage. But its success was usually temporary and the culture as a whole always lost. Between the sixteenth and eighteenth centuries, this pattern occurred again and again in the Americas. It was a kind of master narrative of postcontact history. In fact, Europeans routinely lost when they could not take advantage of disease and political fragmentation. Conquistadors tried to take Florida half a dozen times between 1510 and 1560—and failed each time. In 1532 King Jo?o III of Portugal divided the coast of Brazil into fourteen provinces and dispatched colonists to each one. By 1550 only two settlements survived. The French were barely able to sustain trading posts in the St. Lawrence and didn’t even try to plant their flag in pre-epidemic New England. European microorganisms were slow to penetrate the Yucat?n Peninsula, where most of the Maya polities were too small to readily play off against each other. In consequence, Spain never fully subdued the Maya. The Zapatista rebellion that convulsed southern Mexico in the 1990s was merely the most recent battle in an episodic colonial war that began in the sixteenth century. All of this was important, the stuff of historians’ arguments and doctoral dissertations, but Dobyns was thinking of something else. If Pizarro had been amazed by the size of Tawantinsuyu after the terrible epidemic and war, how many people had been living there to begin with? Beyond that, what was the population of the Western Hemisphere in 1491? AN ARITHMETICAL PROGRESSION Wayna Qhapaq died in the first smallpox epidemic. The virus struck Tawantinsuyu again in 1533, 1535, 1558, and 1565. Each time the consequences were beyond the imagination of our fortunate age. “They died by scores and hundreds,” recalled one eyewitness to the 1565 outbreak. “Villages were depopulated. Corpses were scattered over the fields or piled up in the houses or huts…. The fields were uncultivated; the herds were untended [and] the price of food rose to such an extent that many persons found it beyond their reach. They escaped the foul disease, but only to be wasted by famine.” In addition, Tawantinsuyu was invaded by other European pestilences, to which the Indians were equally susceptible. Typhus (probably) in 1546, influenza in 1558 (together with smallpox), diphtheria in 1614, measles in 1618—all flensed the remains of Inka culture. Taken as a whole, Dobyns thought, the epidemics must have killed nine out of ten of the inhabitants of Tawantinsuyu. Dobyns was not the first to arrive at this horrific conclusion. But he was the first to put it together with the fact that smallpox visited before anyone in South America had even seen Europeans. The most likely source of the virus, Dobyns realized, was the Caribbean. Smallpox was recorded to have appeared on the island of Hispaniola in November or December 1518. It killed a third of the native population before jumping to Puerto Rico and Cuba. Spaniards, exposed in childhood to the virus, were mostly immune. During Hern?n Cort?s’s conquest of Mexico, an expedition led by P?nfilo de Narv?ez landed on April 23, 1520, near what is today the city of Veracruz. According to several Spanish accounts, the force included an African slave named Francisco Egu?a or Bagu?a who had smallpox. Other reports say that the carriers were Cuban Indians whom Narv?ez had brought as auxiliaries. In any case, someone brought the virus—and infected a hemisphere. The disease raced to Tenochtitlan, leading city of the Mexica (Aztecs), where it laid waste to the metropolis and then the rest of the empire. From there, Dobyns discovered, colonial accounts show smallpox hopscotching through Central America to Panama. At that point it was only a few hundred miles from the Inka frontier. The virus seemingly crossed the gap, with catastrophic consequences. Then Dobyns went further. When microbes arrived in the Western Hemisphere, he argued, they must have swept from the coastlines first visited by Europeans to inland areas populated by Indians who had never seen a white person. Colonial writers knew that disease tilled the virgin soil of the Americas countless times in the sixteenth century. But what they did not, could not, know is that the epidemics shot out like ghastly arrows from the limited areas they saw to every corner of the hemisphere, wreaking destruction in places that never appeared in the European historical record. The first whites to explore many parts of the Americas therefore would have encountered places that were already depopulated. As a result, Dobyns said, all colonial population estimates were too low. Many of them, put together just after epidemics, would have represented population nadirs, not approximations of precontact numbers. From a few incidents in which before and after totals are known with relative certainty, Dobyns calculated that in the first 130 years of contact about 95 percent of the people in the Americas died. To estimate native numbers before Columbus, one thus had to multiply census figures from those times by a factor of twenty or more. The results obtained by this procedure were, by historical standards, stunningly high. Historians had long wondered how many Indians lived in the Americas before contact. “Debated since Columbus attempted a partial census at Hispaniola in 1496,” Denevan, the Beni geographer, has written, “it remains one of the great inquiries of history.” Early researchers’ figures were, to put it mildly, informally ascertained. “Most of them weren’t even ballpark calculations,” Denevan told me. “No ballpark was involved.” Only in 1928 did the first careful estimate of the indigenous population appear. James Mooney, a distinguished ethnographer at the Smithsonian Institution, combed through colonial writings and government documents to conclude that in 1491 North America had 1.15 million inhabitants. Alfred L. Kroeber, the renowned Berkeley anthropologist, built upon Mooney’s work in the 1930s. Kroeber cut back the tally still further, to 900,000—a population density of less than one person for every six square miles. Just 8.4 million Indians, Kroeber suggested, had lived in the entire hemisphere. Recognizing that his continent-wide estimate did not account for regional variation, Kroeber encouraged future scholars to seek out and analyze “sharply localized documentary evidence.” As he knew, some of his Berkeley colleagues were already making those analyses. Geographer Carl Sauer published the first modern estimate of northwest Mexico’s pre-Columbian population in 1935. Meanwhile, physiologist Sherburne F. Cook investigated the consequences of disease in the same area. Cook joined forces with Woodrow W. Borah, a Berkeley historian, in the mid-1950s. In a series of publications that stretched to the 1970s, the two men combed through colonial financial, census, and land records. Their results made Kroeber uneasy. When Columbus landed, Cook and Borah concluded, the central Mexican plateau alone had a population of 25.2 million. By contrast, Spain and Portugal together had fewer than ten million inhabitants. Central Mexico, they said, was the most densely populated place on earth, with more than twice as many people per square mile than China or India. “Historians and anthropologists did not, however, seem to be paying much attention” to Cook and Borah, Dobyns wrote. Years later, his work, coupled with that of Denevan, Crosby, and William H. McNeill, finally made them take notice. Based on their work and his own, Dobyns argued that the Indian population in 1491 was between 90 and 112 million people. Another way of saying this is that when Columbus sailed more people lived in the Americas than in Europe. According to a 1999 estimate from the United Nations, the earth’s population in the beginning of the sixteenth century was about 500 million. If Dobyns was right, disease claimed the lives of 80 to 100 million Indians by the first third of the seventeenth century. All these numbers are at best rough approximations, but their implications are clear: the epidemics killed about one out of every five people on earth. According to W. George Lovell, a geographer at Queen’s University in Ontario, it was “the greatest destruction of lives in human history.” Dobyns published his conclusions in the journal Current Anthropology in 1966. They spawned rebuttals, conferences, even entire books. (Denevan assembled one: The Native Population of the Americas in 1492.) “I always felt guilty about the impact of my Current Anthropology article,” Dobyns told me, “because I thought and still think that Cook and Borah and Sauer had all said this in print earlier, but people weren’t listening. I’m still puzzled by the reaction, to tell you the truth. Maybe it was the time—people were prepared to listen in the 1960s.” Listen—and attack. Dobyns’s population projections were quickly seen by some as politically motivated—self-flagellation by guilty white liberals or, worse, a push to inflate the toll of imperialism from the hate-America crowd. “No question about it, some people want those higher numbers,” Shepard Krech III, an anthropologist at Brown, told me. These people, he said, were thrilled when Dobyns revisited the subject in a 1983 book, Their Number Become Thinned, and revised his estimates upward. Most researchers thought Dobyns’s estimates too high but few critics were as vehement as David Henige, of the University of Wisconsin, whose book, Numbers from Nowhere, published in 1998, is a landmark in the literature of demographic vilification. “Suspect in 1966, it is no less suspect nowadays,” Henige charged of Dobyns’s work. “If anything, it is worse.” Henige stumbled across a seminar on Indian demography taught by Denevan in 1976. An “epiphanic moment” occurred when he read that Cook and Borah had “uncovered” the existence of eight million people in Hispaniola. Can you just invent millions of people? he wondered. “We can make of the historical record that there was depopulation and movement of people from internecine warfare and diseases,” he said to me. “But as for how much, who knows? When we start putting numbers to something like that—applying large figures like 95 percent—we’re saying things we shouldn’t say. The number implies a level of knowledge that’s impossible.” Indian activists reject this logic. “You always hear white people trying to minimize the size of the aboriginal populations their ancestors personally displaced,” according to Lenore Stiffarm, an ethnologist at the University of Saskatchewan. Dismissing the impact of disease, in her view, is simply a way to reduce the original population of the Americas. “Oh, there used to be a few people there, and disease killed some of them, so by the time we got here they were almost all gone.” The smaller the numbers of Indians, she said, the easier it is to regard the continent as empty, and hence up for grabs. “It’s perfectly acceptable to move into unoccupied land,” Stiffarm told me. “And land with only a few ‘savages’ is the next best thing.” When Henige wrote Numbers from Nowhere, the fight about pre-Columbian population had already consumed forests’ worth of trees—his bibliography is ninety pages long. Four decades after Dobyns’s article appeared, his colleagues “are still struggling to get out of the crater that paper left in anthropology,” according to James Wilson, author of Their Earth Shall Weep, a history of North America’s indigenous peoples after conquest. The dispute shows no sign of abating. This is partly because of the inherent fascination with the subject. But it is also due to the growing realization of how much is at stake. Frequently Asked Questions NOT ENOUGH FOR YANKEE STADIUM On May 30, 1539, Hernando De Soto landed his private army near Tampa Bay in Florida. De Soto was a novel figure: half warrior, half venture capitalist. He grew very rich very young in Spanish America by becoming a market leader in the nascent slave trade. The profits helped to fund the conquest of the Inka, which made De Soto wealthier still. He accompanied Pizarro to Tawantinsuyu, burnishing his reputation for brutality—he personally tortured Challcochima, Atawallpa’s chief general, before his execution. Literally looking for new worlds to conquer, De Soto returned to Spain soon after his exploits in Peru. In Charles V’s court he persuaded the bored monarch to let him loose in North America with an expedition of his own. He sailed to Florida with six hundred soldiers, two hundred horses, and three hundred pigs. From today’s perspective, it is difficult to imagine the ethical system that could justify De Soto’s subsequent actions. For four years his force wandered through what are now Florida, Georgia, North and South Carolina, Tennessee, Alabama, Mississippi, Arkansas, Texas, and Louisiana, looking for gold and wrecking most everything it touched. The inhabitants often fought back vigorously, but they were baffled by the Spaniards’ motives and astounded by the sight and sound of horses and guns. De Soto died of fever with his expedition in ruins. Along the way, though, he managed to rape, torture, enslave, and kill countless Indians. But the worst thing he did, some researchers say, was entirely without malice—he brought pigs. According to Charles Hudson, an anthropologist at the University of Georgia who spent fifteen years reconstructing De Soto’s path, the expedition built barges and crossed the Mississippi a few miles downstream from the present site of Memphis. It was a nervous time: every afternoon, one of the force later recalled, several thousand Indian soldiers approached in canoes to within “a stone’s throw” of the Spanish and mocked them as they labored. The Indians, “painted with ochre,” wore “plumes of many colors, having feathered shields in their hands, with which they sheltered the oarsmen on either side, the warriors standing erect from bow to stern, holding bows and arrows.” Utterly without fear, De Soto ignored the taunts and occasional volleys of arrows and poled over the river into what is now eastern Arkansas, a land “thickly set with great towns,” according to the account, “two or three of them to be seen from one.” Each city protected itself with earthen walls, sizable moats, and deadeye archers. In his brazen fashion, De Soto marched right in, demanded food, and marched out. After De Soto left, no Europeans visited this part of the Mississippi Valley for more than a century. Early in 1682 white people appeared again, this time Frenchmen in canoes. In one seat was Ren?-Robert Cavelier, Sieur de la Salle. La Salle passed through the area where De Soto had found cities cheek by jowl. It was deserted—the French didn’t see an Indian village for two hundred miles. About fifty settlements existed in this strip of the Mississippi when De Soto showed up, according to Anne Ramenofsky, an archaeologist at the University of New Mexico. By La Salle’s time the number had shrunk to perhaps ten, some probably inhabited by recent immigrants. De Soto “had a privileged glimpse” of an Indian world, Hudson told me. “The window opened and slammed shut. When the French came in and the record opened up again, it was a transformed reality. A civilization crumbled. The question is, how did this happen?” Today most historians and anthropologists believe the culprit was disease. In the view of Ramenofsky and Patricia Galloway, an anthropologist at the University of Texas, the source of contagion was very likely not De Soto’s army but its ambulatory meat locker: his three hundred pigs. De Soto’s company was too small to be an effective biological weapon. Sicknesses like measles and smallpox would have burned through his six hundred men long before they reached the Mississippi. But that would not have been true for his pigs. Pigs were as essential to the conquistadors as horses. Spanish armies traveled in a porcine cloud; drawn by the supper trough, the lean, hungry animals circled the troops like darting dogs. Neither species regarded the arrangement as novel; they had lived together in Europe for millennia. When humans and domesticated animals share quarters, they are constantly exposed to each other’s microbes. Over time mutation lets animal diseases jump to people: avian influenza becomes human influenza, bovine rinderpest becomes human measles, horsepox becomes human smallpox. Unlike Europeans, Indians did not live in constant contact with many animals. They domesticated only the dog; the turkey (in Mesoamerica); and the llama, the alpaca, the Muscovy duck, and the guinea pig (in the Andes). In some ways this is not surprising: the New World had fewer animal candidates for taming than the Old. Moreover, few Indians carry the gene that permits adults to digest lactose, a form of sugar abundant in milk. Non-milk drinkers, one imagines, would be less likely to work at domesticating milk-giving animals. But this is guesswork. The fact is that what scientists call zoonotic disease was little known in the Americas. By contrast, swine, mainstays of European agriculture, transmit anthrax, brucellosis, leptospirosis, trichinosis, and tuberculosis. Pigs breed exuberantly and can pass diseases to deer and turkeys, which then can infect people. Only a few of De Soto’s pigs would have had to wander off to contaminate the forest. The calamity wreaked by the De Soto expedition, Ramenofsky and Galloway argued, extended across the whole Southeast. The societies of the Caddo, on the Texas-Arkansas border, and the Coosa, in western Georgia, both disintegrated soon after. The Caddo had a taste for monumental architecture: public plazas, ceremonial platforms, mausoleums. After De Soto’s army left the Caddo stopped erecting community centers and began digging community cemeteries. Between the visits of De Soto and La Salle, according to Timothy K. Perttula, an archaeological consultant in Austin, Texas, the Caddoan population fell from about 200,000 to about 8,500—a drop of nearly 96 percent. In the eighteenth century, the tally shrank further, to 1,400. An equivalent loss today would reduce the population of New York City to 56,000, not enough to fill Yankee Stadium. “That’s one reason whites think of Indians as nomadic hunters,” Russell Thornton, an anthropologist at the University of California at Los Angeles, said to me. “Everything else—all the heavily populated urbanized societies—was wiped out.” Could a few pigs truly wreak this much destruction? Such apocalyptic scenarios have invited skepticism since Henry Dobyns first drew them to wide attention. After all, no eyewitness accounts exist of the devastation—none of the peoples in the Southeast had any form of writing known today. Spanish and French narratives cannot be taken at face value, and in any case say nothing substantial about disease. (The belief that epidemics swept through the Southeast comes less from European accounts of the region than from the disparities among those accounts.) Although the archaeological record is suggestive, it is also frustratingly incomplete; soon after the Spaniards visited, mass graves became more common in the Southeast, but there is yet no solid proof that a single Indian in them died of a pig-transmitted disease. Asserting that De Soto’s visit caused the subsequent collapse of the Caddo and Coosa may be only the old logical fallacy of post hoc ergo propter hoc. Not only do archaeologists like Dobyns, Perttula, and Ramenofsky argue that unrecorded pandemics swept through the Americas, they claim that the diseases themselves were of unprecedented deadliness. As a rule, viruses, microbes, and parasites do not kill the majority of their victims—the pest that wipes out its host species has a bleak evolutionary future. The influenza epidemic of 1918, until AIDS the greatest epidemic of modern times, infected tens of millions around the world but killed fewer than 5 percent of its victims. Even the Black Death, a symbol of virulence, was not as deadly as these epidemics are claimed to be. The first European incursion of the Black Death, in 1347–51, was a classic virgin-soil epidemic; mutation had just created the pulmonary version of the bacillus Yersinia pestis. But even then the disease killed perhaps a third of its victims. The Indians in De Soto’s path, if researchers are correct, endured losses that were anomalously greater. How could this be true? the skeptics ask. Consider, too, the Dobynsesque procedure for recovering original population numbers: applying an assumed death rate, usually 95 percent, to the observed population nadir. According to Douglas H. Ubelaker, an anthropologist at the National Museum of Natural History, the population nadir for Indians north of the R?o Grande was around 1900, when their numbers fell to about half a million. Assuming a 95 percent death rate (which Ubelaker, a skeptic, does not), the precontact population of North America would have been 10 million. Go up 1 percent to a 96 percent death rate and the figure jumps to 12.5 million—creating more than two million people arithmetically from a tiny increase in mortality rates. At 98 percent, the number bounds to 25 million. Minute changes in baseline assumptions produce wildly different results. Worse, the figures have enormous margins of error. Rudolph Zambardino, a statistician at North Staffordshire Polytechnic, in England, has pointed out that the lack of direct data forces researchers into salvos of extrapolation. To approximate the population of sixteenth-century Mexico, for example, historians have only the official counts of casados (householders) in certain areas. To calculate the total population, they must adjust that number by the estimated average number of people in each home, the estimated number of homes not headed by a casado (and thus not counted), the estimated number of casados missed by the census takers, and so on. Each one of these factors has a margin of error. Unfortunately, as Zambardino noted, “the errors multiply each other and can escalate rapidly to an unacceptable magnitude.” If researchers presented their estimates with the proper error bounds, he said, they would see that the spread is far too large to constitute “a meaningful quantitative estimate.” Extraordinary claims require extraordinary evidence, scientists say. Other episodes of mass fatality are abundantly documented: the Black Death in Europe, the post-collectivization famine in the Soviet Union, even the traffic in African slaves. Much less data support the notion that Old World bacteria and viruses turned the New World into an abattoir. *10 Such evidence as can be found lies scribbled in the margins of European accounts—it is, as Crosby admitted, “no better than impressionistic.” “Most of the arguments for the very large numbers have been theoretical,” Ubelaker told me. “But when you try to marry the theoretical arguments to the data that are available on individual groups in different regions, it’s hard to find support for those numbers.” Archaeologists, he said, keep searching for the settlements in which those millions of people supposedly lived. “As more and more excavation is done, one would expect to see more evidence for [dense populations] than has thus far emerged.” Dean R. Snow, of Pennsylvania State, repeatedly examined precontact sites in eastern New York and found “no support for the notion that ubiquitous pandemics swept the region.” In the skeptics’ view, Dobyns, and other High Counters (as proponents of large pre-Columbian numbers have been called) are like people who discover an empty bank account and claim from its very emptiness that it once contained millions of dollars. Historians who project large Indian populations, Low Counter critics say, are committing the intellectual sin of arguing from silence. Given these convincing rebuttals, why have the majority of researchers nonetheless become High Counters? In arguing that Indians died at anomalously high rates from European diseases, are researchers claiming that they were somehow uniquely vulnerable? Why hypothesize the existence of vast, super-deadly pandemics that seem unlike anything else in the historical record? The speed and scale of the projected losses “boggle the mind,” observed Colin G. Calloway, a historian at Dartmouth—one reason, he suggested, that researchers were so long reluctant to accept them. Indeed, how can one understand losses of such unparalleled scope? And if the European entrance into the Americas five centuries ago was responsible for them, what moral reverberations does this have today? THE GENETICS OF VULNERABILITY In August 1967 a missionary’s two-year-old daughter came down with measles in a village on the Toototobi River in Brazil, near the border with Venezuela. She and her family had just returned from the Amazonian city of Manaus and had been checked and cleared by Brazilian doctors before departure. Nonetheless the distinctive spots of measles emerged a few days after the family’s arrival on the Toototobi. The village, like many others in the region, was populated mainly by Yanomami Indians, a forest society on the Brazil-Venezuela border that is among the least Westernized on earth. They had never before encountered the measles virus. More than 150 Yanomami were in the village at the time. Most or all caught the disease. Seventeen died despite the horrified missionaries’ best efforts. And the virus escaped and spread throughout the Yanomami heartland, carried by people who did not know they had been exposed. Partly by happenstance, the U.S. geneticist James Neel and the U.S. anthropologist Napoleon Chagnon flew into Yanomami country in the midst of the epidemic. Neel, who had long been worried about measles, was carrying several thousand doses of vaccine. Alas, the disease had preceded them. They frantically tried to create an epidemiological “firebreak” by vaccinating ahead of the disease. Despite their efforts, the affected villages had a mean death rate of 8.8 percent. Almost one out of ten people died from a sickness that in Western societies was just a childhood annoyance. Later Neel concluded that the high death rate was in part due to grief and despair, rather than the virus itself. Still, the huge toll was historically unprecedented. The implication, implausible at first glance, was that Indians in their virgin-soil state were more vulnerable to European diseases than virgin-soil Europeans would have been. Perhaps surprisingly, there is some scientific evidence that Native Americans were for genetic reasons unusually susceptible to foreign microbes and viruses—one reason that researchers believe that pandemics of Dobynsian scale and lethality could have occurred. Here I must make a distinction between two types of susceptibility. The first is the lack of acquired immunity—immunity gained from a previous exposure to a pathogen. People who have never had chicken pox are readily infected by the virus. After they come down with the disease, their immune system trains itself, so to speak, to fight off the virus, and they never catch it again, no matter how often they are exposed. Most Europeans of the day had been exposed to smallpox as children, and those who didn’t die were immune. Smallpox and other European diseases didn’t exist in the Americas, and so every Indian was susceptible to them in this way. In addition to having no acquired immunity (the first kind of vulnerability), the inhabitants of the Americas had immune systems that some researchers believe were much more restricted than European immune systems. If these scientists are correct, Indians as a group had less innate ability to defend themselves against epidemic disease (the second kind of vulnerability). The combination was devastating. The second type of vulnerability stems from a quirk of history. Archaeologists dispute the timing and manner of Indians’ arrival in the Americas, but almost all researchers believe that the initial number of newcomers must have been small. Their gene pool was correspondingly restricted, which meant that Indian biochemistry was and is unusually homogeneous. More than nine out of ten Native Americans—and almost all South American Indians—have type O blood, for example, whereas Europeans are more evenly split between types O and A. Evolutionarily speaking, genetic homogeneity by itself is neither good nor bad. It can be beneficial if it means that a population lacks deleterious genes. In 1491, the Americas were apparently free or almost free of cystic fibrosis, Huntington’s chorea, newborn anemia, schizophrenia, asthma, and (possibly) juvenile diabetes, all of which have some genetic component. Here a limited gene pool may have spared Indians great suffering. Genetic homogeneity can be problematic, too. In the 1960s and 1970s Francis L. Black, a virologist at Yale, conducted safety and efficacy tests among South American Indians of a new, improved measles vaccine. During the tests he drew blood samples from the people he vaccinated, which he later examined in the laboratory. When I telephoned Black, he told me that the results were “thought-provoking.” Every individual person’s immune system responded robustly to the vaccine. But the native population as a whole had a “very limited spectrum of responses.” And that, he said, “could be a real problem in the right circumstances.” For Indians, those circumstances arrived with Columbus. Black was speaking of human leukocyte antigens (HLAs), molecules inside most human cells that are key to one of the body’s two main means of defense. Cells of all sorts are commonly likened to biochemical factories, busy ferments in which dozens of mechanisms are working away in complex sequences that are half Rube Goldberg, half ballet. Like well-run factories, cells are thrifty; part of the cellular machinery chops up and reuses anything that is floating around inside, including bits of the cell and foreign invaders such as viruses. Not all of the cut-up pieces are recycled. Some are passed on to HLAs, special molecules that transport the snippets to the surface of the cell. Outside, prowling, are white blood cells—leukocytes, to researchers. Like minute scouts inspecting potential battle zones, leukocytes constantly scan cell walls for the little bits of stuff that HLAs have carried there, trying to spot anything that doesn’t belong. When a leukocyte spots an anomaly—a bit of virus, say—it destroys the infected or contaminated cell immediately. Which means that unless an HLA lugs an invading virus to where the leukocyte can notice it, that part of the immune system cannot know it exists, let alone attack it. HLAs carry their burdens to the surface by fitting them into a kind of slot. If the snippet doesn’t fit into the slot, the HLA can’t transport it, and the rest of the immune system won’t be able to “see” it. All people have multiple types of HLA, which means that they can bring almost every potential problem to the attention of their leukocytes. Not every problem, though. No matter what his or her genetic endowment, no one person’s immune system has enough different HLAs to identify every strain of every virus. Some things will always escape notice. Imagine someone sneezing in a crowded elevator, releasing into the air ten variants of a rhinovirus, the kind of virus that causes the common cold. (Viruses mutate quickly and are commonly present in the body in multiple forms, each slightly different from the others.) For simplicity’s sake, suppose that the other elevator passengers inhale all ten versions of the virus. One man is lucky: he happens to have HLAs that can lock onto and carry pieces of all ten variants to the cell surface. Because his white blood cells can identify and destroy the infected cells, this man doesn’t get sick. Not so lucky is the woman next to him: she has a different set of HLAs, which are able to pick up and transport only eight of the ten varieties. The other two varieties escape the notice of her leukocytes and go on to give her a howling cold (eventually other immune mechanisms kick in and she recovers). These disparate outcomes illustrate the importance to a population of having multiple HLA profiles; one person’s HLAs may miss a particular bug, but another person may be equipped to combat it, and the population as a whole survives. Most human groups are a scattershot mix of HLA profiles, which means that almost always some people in the group will not get sick when exposed to a particular pathogen. Indeed, if laboratory mice have too much HLA diversity, Black told me, researchers can’t use them to observe the progress of an infectious disease. “You get messy results—they don’t all get sick.” The opposite is true as well, he said. People with similar HLA profiles fall victim to the same diseases in the same way. In the 1990s Black reviewed thirty-six studies of South American Indians. Not to his surprise, he discovered that overall Indians have fewer HLA types than populations from Europe, Asia, and Africa. European populations have at least thirty-five main HLA classes, whereas Indian groups have no more than seventeen. In addition, Native American HLA profiles are dominated by an unusually small number of types. About one third of South American Indians, Black discovered, have identical or near-identical HLA profiles; for Africans the figure is one in two hundred. In South America, he estimated, the minimum probability that a pathogen in one host will next encounter a host with a similar immune spectrum is about 28 percent; in Europe, the chance is less than 2 percent. As a result, Black argued, “people of the New World are unusually susceptible to diseases of the Old.” *11 Actually, some Old World populations were just as vulnerable as Native Americans to those diseases, and likely for the same reason. Indians’ closest genetic relatives are indigenous Siberians. They did not come into substantial contact with Europeans until the sixteenth century, when Russian fur merchants overturned their governments, established military outposts throughout the region, and demanded furs in tribute. In the train of the Russian fur market came Russian diseases, notably smallpox. The parallels with the Indian experience are striking. In 1768 the virus struck Siberia’s Pacific coast, apparently for the first time. “No one knows how many have survived,” confessed the governor of Irkutsk, the Russian base on Lake Baikal, apparently because officials were afraid to travel to the affected area. A decade later, in 1779, the round-the-globe expedition of Captain James Cook reached Kamchatka, the long peninsula on the Pacific coast. The shoreline, the British discovered, was a cemetery. “We every where met with the Ruins of large Villages with no Traces left of them but the Foundation of the Houses,” lamented David Samwell, the ship’s surgeon. “The Russians told us that [the villages] were destroyed by the small Pox.” The explorer Martin Sauer, who visited Kamchatka five years after Cook’s expedition, discovered that the Russian government had at last ventured into the former epidemic zone. Scarcely one thousand natives remained on the peninsula, according to official figures; the disease had claimed more than five thousand lives. The tally cannot be taken as exact, but the fact remains: a single epidemic killed more than three of every four indigenous Siberians in that area. After a few such experiences, the natives tried to fight back. “As soon as [indigenous Siberians] learn that smallpox or other contagious diseases are in town,” the political exile Heinrich von F?ch wrote, “they set up sentries along all the roads, armed with bows and arrows, and they will not allow anyone to come into their settlements from town. Likewise, they will not accept Russian flour or other gifts, lest these be contaminated with smallpox.” Their efforts were in vain. Despite extreme precautions, disease cut down native Siberians again and again. After learning about this sad history I again telephoned Francis Black. Being genetically determined, Indian HLA homogeneity cannot be changed (except by intermarriage with non-Indians). Did that mean that the epidemics were unavoidable? I asked. Suppose that the peoples of the Americas had, in some parallel world, understood the concept of contagion and been prepared to act on it. Could the mass death have been averted? “There have been lots of cases where individual towns kept out epidemics,” Black said. During plague episodes, “medieval cities would barricade themselves behind their walls and kill people who tried to come in. But whole countries—that’s much harder. England has kept out rabies. That’s the biggest success story that comes to mind, offhand. But rabies is primarily an animal disease, which helps, because you only have to watch the ports—you don’t have many undocumented aliens sneaking in with sick dogs. And rabies is not highly contagious, so even if it slips through it is unlikely to spread.” He stopped speaking for long enough that I asked him if he was still on the line. “I’m trying to imagine how you would do it,” he said. “If Indians in Florida let in sick people, the effects could reach all the way up to here in Connecticut. So all these different groups would have had to coordinate the blockade together. And they’d have to do it for centuries—four hundred years—until the invention of vaccines. Naturally they’d want to trade, furs for knives, that kind of thing. But the trade would have to be conducted in antiseptic conditions.” The Abenaki sent goods to Verrazzano on a rope strung from ship to shore, I said. “You’d have to have the entire hemisphere doing that. And the Europeans would presumably have to cooperate, or most of them, anyway. I can’t imagine that happening, actually. Any of it.” Did that mean the epidemics were inevitable and there was nothing to be done? The authorities, he replied, could “try to maintain isolation, as I was saying. But that ends up being paternalistic and ineffective. Or they can endorse marriage and procreation with outsiders, which risks destroying the society they supposedly are trying to preserve. I’m not sure what I’d recommend. Except getting these communities some decent health care, which they almost never have.” Except for death, he went on, nothing in medicine is inevitable. “But I don’t see how it [waves of epidemics from European diseases] could have been prevented for very long. That’s a terrible thought. But I’ve been working with highly contagious diseases for forty years, and I can tell you that in the long run it is almost impossible to keep them out.” *12 “OUR EYES WERE APPALLED WITH TERROR” A second reason historians believe that epidemics tore through Native American communities before Europeans arrived is that epidemics also did it after Europeans arrived. In her book Pox Americana (2001), the Duke University historian Elizabeth Fenn meticulously pieced together evidence that the Western Hemisphere was visited by two smallpox pandemics shortly before and during the Revolutionary War. The smaller of the two apparently began outside Boston in early 1774 and lurked in the area for the next several years like a sniper, picking off victims at the rate of ten to thirty a day. In Boston the Declaration of Independence was overshadowed by the previous day’s proclamation of a citywide campaign of inoculation (an early, risky form of vaccination in which people deliberately infected themselves with a mild dose of smallpox to produce immunity). Even as it besieged Boston, the virus also spread down the eastern seaboard, laying waste as far as Georgia. It wreaked havoc on the Ani Yun Wiya (the group often called the Cherokee, which is a mildly insulting name coined by their enemies, the Creek confederation) and the Haudenosaunee (the indigenous name for the six nations that made up what Europeans called the Iroquois League). Both were important allies of the British, and after the epidemic neither was able to fight the colonists successfully. Smallpox also ruined the British plan to raise an army of slaves and indentured servants by promising them freedom after the war—the disease killed off most of the “Ethiopian regiment” even as it assembled. An equal-opportunity killer, smallpox ravaged the rebels, too. The virus had been endemic in Europe for centuries, which meant that most Europeans were exposed to it before adulthood. But it was only an occasional, terrible visitor in the Americas, which meant that most adult colonists had not acquired childhood immunity. On an individual level, they were almost as vulnerable as Indians. On a group level, though, they were less genetically homogeneous, which conferred some relative advantage; the virus would sweep through them, but not kill quite so many. Still, so many soldiers in the Continental army fell during the epidemic that revolutionary leaders feared that the disease would bring an end to their revolt. “The small Pox! The small Pox!” John Adams wrote to his wife, Abigail. “What shall We do with it?” His worries were on target: the virus, not the British, stopped the Continental army’s drive into Quebec in 1776. In retrospect, Fenn told me, “One of George Washington’s most brilliant moves was to inoculate the army against smallpox during the Valley Forge winter of ’78.” Without inoculation, she said, the smallpox epidemic could easily have handed the colonies back to the British. Even as the first outbreak faded, Fenn wrote, a second, apparently unrelated epidemic burned through Mexico City. The first cases occurred in August 1779. By year’s end perhaps eighteen thousand had died in the city area and the disease was racing through the countryside in every direction. Communications in those days were too poor to permit us to document a transmission chain, but records show smallpox flaring in separate explosions to the south like a chain of firecrackers: Guatemala (1780–81), Colombia (1781–83), Ecuador (1783). Was the virus retracing a journey to Tawantinsuyu it had taken before? “It seems likely,” decided Calloway, the Dartmouth historian. Fenn tried to trace the virus as it went north. Like Dobyns, she examined parish burial records. In 1780 a telltale surge of mortality traveled north along the heavily traveled road to Santa Fe. From there, smallpox apparently exploded into most of western North America. First to suffer, or so the sketchy evidence suggests, were the Hopi. Already reeling from a drought, they were blasted by smallpox—as many as nine out of ten may have died. When the Spanish governor tried to recruit the Hopi to live in missions, their leaders told him not to bother: the epidemic soon would expunge them from the earth. As if drought and contagion were not enough, the Hopi were constantly under attack by the Nermernuh (or Nemene), a fluid collection of hunting bands known today as the Comanche (the name, awarded by an enemy group, means “people who fight us all the time”). Originally based north of Santa Fe, the Nermernuh were on their way to dominating the southern plains; they had driven away their Apache and Hopi rivals with trip-hammer ambushes and deadly incursions and were bent on doing the same to any European colonists who ventured in. In 1781 the raiding abruptly stopped. Silence for eighteen months. Was the ceasefire due to Mexico City smallpox that had been transmitted by the Hopi? Four years afterward, a traveler noted in his diary that the Nermernuh lived in fear of disease because they had been recently struck by smallpox—tenuous but suggestive evidence. What is certain is that both Hopi and Nermernuh were part of a network of exchange that had hummed with vitality since ancient times and had recently grown more intense with the arrival of horses, which sped up communication. Smallpox raced along the network through the Great Plains and the Rocky Mountains, ricocheting among the Mandans, Hidatsas, Ojibwes, Crows, Blackfoot, and Shoshone, a helter-skelter progress in which a virus leapfrogged from central Mexico to the shore of Hudson Bay in less than two years. Indians in the northern Great Plains kept “winter counts,” oral chronologies of the most important events in each year. Often the counts were accompanied by a spiraling sequence of drawings on a hide, with each year summarized by a drawing as an aide-m?moire. In several Lakota (Sioux) counts 1780–81 was bleakly summed as the year of Smallpox Used Them Up; and the Lakota were not the only ones affected. In 1781 a company of Blackfoot stumbled across a Shoshone camp at dawn near the Red Deer River in Alberta. The Blackfoot were a tightly organized confederation of groups that inhabited the plains between the Missouri and Saskatchewan Rivers. Equipped with guns and horses from French traders, they had pushed their southern neighbors, the Shoshone—left at a disadvantage because they had no access to the French and their goods, and the Spanish, whom they did have access to, tried to block Indian access to weapons—from the plains into the mountains of what are now Wyoming and Colorado. When the Shoshone finally obtained guns—they traded with their linguistic cousins, the Nermernuh, who took the weapons as booty from defeated Spaniards—open warfare broke out. In this bellicose context, the Blackfoot party knew exactly what to do when it happened upon a slumbering Shoshone encampment. With “sharp flat daggers and knives,” one of the raiders later remembered, they silently sliced open the Shoshone tents “and entered for the fight; but our war whoops instantly stopt, our eyes were appalled with terror; there was no one to fight with but the dead and the dying, each a mass of corruption.” The Blackfoot did not touch the bodies, but were infected anyway. When the company returned home, the raider lamented, smallpox “spread from one tent to another as if the Bad Spirit carried it.” According to Fenn, “the great preponderance of the evidence” indicates that the Shoshone also transmitted smallpox down the Columbia River into the Pacific Northwest. Calloway suggests the Crow as a plausible alternative. Whoever passed on the virus, its effects were still visible a decade later in 1792, when the British navigator George Vancouver led the first European expedition to survey Puget Sound. Like Cook’s crew in Kamchatka, he found a charnel house: deserted villages, abandoned fishing boats, human remains “promiscuously scattered about the beach, in great numbers.” Everything they saw suggested “that at no very remote period this country had been far more populous than at present.” The few suffering survivors, noted Second Lieutenant Peter Puget, were “most terribly pitted…indeed many have lost their Eyes.” Europeans were well versed in the brutal logic of quarantine. When plague appeared, they boarded up houses and fled to the countryside. By contrast, the historian Neal Salisbury observed, family and friends in Indian New England gathered at the sufferer’s bedside to wait out the illness, a practice that “could only have served to spread the disease more rapidly.” Even the idea of contagion itself was novel. “We had no belief that one Man could give [a disease] to another,” the Blackfoot raider remembered, “any more than a wounded Man could give his wound to another.” Because they knew of no protective measures, the toll was even higher than it would have been. Living in the era of antibiotics, we find it difficult to imagine the simultaneous deaths of siblings, parents, relatives, and friends. As if by a flash of grim light, Indian villages became societies of widows, widowers, and orphans; parents lost their children, and children were suddenly alone. Rare is the human spirit that remains buoyant in a holocaust. “My people have been so unhappy for so long they wish to disincrease, rather than to multiply,” a Paiute woman wrote in 1883. A Lakota winter count memorialized the year 1784 with a stark image: a pox-scarred man, alone in a tipi, shooting himself. Disease not only shattered the family bonds that were the underlying foundation of Indian societies, it wiped out the political superstructure at the top. King Liholiho Kamehameha II and Queen Kamamalu of Hawai‘i visited Great Britain on a diplomatic mission in 1824. While staying in a posh London hotel and attending the theater in the English king’s own box, the royal couple and most of the rest of their party came down with measles. It killed the queen on July 8. The grieving king died six days later, at the age of twenty-seven. The death of the royal couple ushered in a time of social chaos. It was as catastrophic for Hawai‘i as the death of Wayna Qhapaq for Tawantinsuyu. A particularly poignant loss occurred in the summer of 1701, when the leaders of forty native nations convened in Montreal to negotiate an end to decades of war among themselves and the French. Death stalked the congress in the form of influenza. By then the Indians of the Northeast knew such diseases all too well: sickness had carried off so many members of the Haudenosaunee that the alliance was forced to replenish itself by adopting abductees and prisoners of war. At the time of the conference at least a quarter of the Haudenosaunee were former captives. At great personal risk, many Indian leaders attended the conference even after they knew that influenza was in Montreal. Dozens died. Among them was the Huron leader Kondiaronk, a famed orator who had, more than any other, convened the gathering as a last-ditch effort to avoid internecine conflict. His body was placed on a bed of beaver pelts, covered by a scarlet cloth, and surrounded by a copper pot, a rifle, and a sword. In their diversity, the objects symbolized the peaceful mixing of cultures that Kondiaronk hoped lay in the future. Nobody knows how many died during the pandemics of the 1770s and 1780s, but even if one had a number it wouldn’t begin to tally the impact. Disease turned whole societies to ash. Six Cree groups in western Canada disappeared after 1781; the Blackfoot nation, blasted by smallpox, sent peace emissaries to Shoshone bands, only to find that all had vanished. “The country to the south was empty and silent,” Calloway wrote. So broken were the Omaha by disease that according to tradition they launched a deliberately suicidal attack against their enemies. Those who did not die quit their villages and became homeless wanderers. Cultures are like books, the anthropologist Claude L?vi-Strauss once remarked, each a volume in the great library of humankind. In the sixteenth century, more books were burned than ever before or since. How many Homers vanished? How many Hesiods? What great works of painting, sculpture, architecture, and music vanished or never were created? Languages, prayers, dreams, habits, and hopes—all gone. And not just once, but over and over again. In our antibiotic era, how can we imagine what it means to have entire ways of life hiss away like steam? How can one assay the total impact of the unprecedented calamity that gave rise to the world we live in? It seems important to try. I would submit that the best way to come near to encompassing the scale and kind of the loss, and its causes, is to look at the single case where the intellectual life of a Native American society is almost as well documented as its destruction. FLOWERS AND SONG In 1524, according to colonial accounts, an extraordinary face-off took place in one of the great buildings of Tenochtitlan, capital of the Triple Alliance—the Aztec empire, as it is better known—which Hern?n Cort?s had conquered three years before. *13 Facing each other across a room, two delegations of elite clerics battled over the nature of God. On one side were twelve eminent Franciscan monks, who had traveled from Europe in a mission authorized by Pope Hadrian VI. On the other were twelve high priests from the Triple Alliance, men who had wielded immense spiritual and political power until Cort?s shuttered the grand temples and brought down the clerisy. Although the pope in Rome had authorized the friars’ mission, all twelve were Spanish, because Spain had conquered the empire, and because Spain, which had spent centuries extracting itself from the rule of African Muslims, had experience with powerful alien ideologies. Analogously, the priests of the Triple Alliance were probably all Mexica. The Mexica were the dominant partner in the Alliance, and they had founded and populated Tenochtitlan, the empire’s biggest city. The Franciscans’ mission had begun with a request by Cort?s. Cort?s believed that the military conquest of the Alliance had to be accompanied and justified by an equivalent spiritual conquest. The Indians, he said, must be led to salvation. And he asked King Charles V of Spain for some priests to do the job. In turn the king turned to the pope for his blessing and advice. Cort?s did not want “bishops and pampered prelates,” wrote historian William H. Prescott, “who too often squandered the substance of the Church in riotous living, but…men of unblemished purity of life, nourished with the learning of the cloister, [who] counted all personal sacrifices as little in the cause to which they were devoted.” Led by the intellectual Mart?n de Valencia, a man so dedicated to ascetic faith that he ended his days as a hermit in the Mexican desert, the friars intended to guide Spain’s new subjects along the exhilarating path to Christendom. The monks understood that the Mexica already had a church—a false church intended to snare their souls for the devil, but a church nonetheless. And they knew that the Indians were too numerous to be reached by even the most zealous missionaries. Valencia’s plan was conversion by proxy: he and the rest of the twelve would open the eyes of the Indian priesthood to the beauties of the true faith, gaining their adherence by reasoned theological discussion, and then the priests would fan out and spread the Gospel in their native tongue. The sole record of the discussions between the monks and the Mexica was compiled four decades later by another Franciscan, Bernardino de Sahag?n. Sahag?n knew ten of the twelve Spaniards at the meeting, interviewed four of the Mexica priests, and filled in gaps by extrapolating from similar theological discussions in which he had participated. Written in dialogue verse, an opera seria exchange of long recitatives, his reconstruction does not individually identify the speakers—perhaps, some historians believe, because the great meeting did not actually take place, Sahag?n’s account being a distillation of many smaller encounters. Only part of the original manuscript survives, written in Nahuatl, the Mexica language, which Sahag?n learned to speak fluently. Still, what remains is enough to indicate how the Mexica viewed their position vis-?-vis the Spanish: defeated, but not unequal. In Sahag?n’s reconstruction, the Franciscans speak first, their interpreters struggling to make European concepts clear in Nahuatl verse, the language of high discourse. The monks explain that they have been sent by “the one who on the earth is the greater speaker of divine things,” the pope, to bring the “venerable word / of the One Sole True God” to New Spain. By worshipping at false altars, the friars say, “you cause Him an injured heart, / by which you live in His anger, His ire.” So infuriated was the Christian God by the Indians’ worship of idols and demons that he sent out “the Spaniards, /…those who afflicted you with tormenting sorrow, / by which you were punished / so that you ceased / these not few injuries to His precious heart.” The Triple Alliance was subjugated, in other words, because its people had failed to recognize the One True God. By accepting the Bible, the priests explain, the Mexica “will be able to cool the heart / of He by Whom All Live, / so He will not completely destroy you.” The Mexica respond immediately. Not wanting to join Christendom, they also know that they cannot prevail in a direct confrontation with their conquerors. Shrewdly, they try to shift the terms of the argument to more congenial rhetorical ground—an approach that will force the friars to treat them as equals. “What now, immediately, will we say?” the lead cleric asks. “We are those who shelter the people, / We are mothers to the people, fathers to the people.” Translation: We priests are in the same business as you Franciscans. We are high-ranking clerics, elite intellectuals, just like you. And just like you we have a function: providing comfort and meaning to the common folk. To disavow their faith, the Mexica say, would tear apart their lives. For this reason and others, the priests explain, “we cannot yet agree to [Christianity] ourselves / We do not yet make it true for ourselves.” Behind the priests’ refusal is an implied request: You know what it is like to be in our shoes. You carry the same responsibilities. As one group of highly placed religious functionaries to another, don’t do this to us! Having expected childlike natives, empty vessels waiting to be filled by the Word, the Franciscans instead found themselves fencing with skilled rhetoricians, proud of their intellectual traditions. In the end the friars resorted to a crude but effective argument: the Indians had to pledge fealty to the Christian god, because their own “gods were not powerful enough to liberate them from the hands of the Spaniards.” In a sober ceremony, the Mexica abjured their old religion and embraced Christianity. For more than a decade, Sahag?n and other religious authorities regarded the conversion as atriumph. He initially began his reconstruction of the debate to commemorate it. But he never published the manuscript, because he was slowly coming to believe that the Church’s efforts in New Spain had been a failure. Despite lip-service devotion to the Gospel, the Mexica remained outside Christendom, as do some of their descendants to this day. Sahag?n is known as the first American anthropologist, for he labored for decades to understand the Indians he sought to convert. With other missionaries, he amassed an archive on the Mexica and their neighbors—dynastic histories, dictionaries of native languages, descriptions of customs, collections of poetry and drama, galleries of paintings and sculpture—unequaled by that on any other Indian group, even the Inka. From it emerges, in almost full detail, a group portrait of a kind that is usually obscured by loss. Masters of power politics, engineers of genius, the Mexica were also upstarts and pretenders, arrivistes who falsely claimed a brilliant line of descent. They are best known for assembling the greatest empire ever seen in Mesoamerica. But their finest accomplishment may have been the creation of a remarkable intellectual tradition, one that like the Greeks began with the questions of lyric poets and then went on to distinct schools of inquiry associated with elite academies. Mexica histories begin by relating their migration to the Basin of Mexico. Fringed by mountains, the basin was about a hundred miles long from north to south and perhaps half that size from east to west. At its center was Lake Texcoco, a fifty-mile-long volcanic lake with exceptionally clear, clean water. Around the time of Christ, a small village on its northeast periphery named Teotihuacan emerged as a military power. During the next four centuries its realm steadily expanded until it ruled directly over much of central Mexico and indirectly, through puppet governments, as far south as Guatemala. Its eponymous capital then may have had 200,000 inhabitants, enormous at the time; its ruins, an hour by bus from Mexico City, are among the few remnants of the ancient world that today don’t seem small. The city was organized around the Avenue of the Dead, a miles-long, north-south boulevard that cut straight as an ax stroke across the landscape. From the northern end of the avenue rose the Pyramids of the Sun and Moon, each as big as the biggest Egyptian pyramids. To their south sprawled the Temple of the Feathered Serpent, where the empire’s rulers, as ruthless and preoccupied with national glory as so many Bismarcks, considered what to do with their soldiers. Despite the empire’s fame and power, its history is still little known; archaeologists do not know what language its people spoke, or even its proper name (“Teotihuacan” was coined centuries later). It had writing of some kind, though it seems not to have been used much; in any case the script has not been deciphered. At about 200 feet tall and 700 feet on a side, the Pyramid of the Sun in Teotihuacan is the world’s third-largest pyramid. It was built in stages in the second and third centuries A.D. atop a deep, 300-foot cave created by a lava tube that may have represented the place where humankind emerged onto the earth. The pyramid and the rest of the city are oriented on a rectilinear grid 15° 25” from true north, a direction that may have aligned with the cave mouth. Teotihuacan fell in the eighth century for reasons yet unknown, but left an enduring mark in central Mexico. Three hundred years afterward the rising Toltec styled themselves its heirs. They, too, built an empire, which fell amid internal dissension in about 1200 A.D. The collapse of the Toltec created an opening in the warm, fertile basin. Into it moved half a dozen groups from the northern and western desert, the Mexica among them. The Mexica were an unlikely choice for heir to the imperial tradition of Teotihuacan and the Toltecs. Poor and unsophisticated, they probably came to Lake Texcoco about 1250 A.D. and became vassals of more important groups. Eventually some enemies drove them away from the fertile shore. The Mexica fled to a swampy, uninhabited island. According to an account by Hernando ?lvaro Tezoz?moc, grandson of the last Mexica ruler, the refugees stumbled about the island for days, looking for food and a place to settle, until one of the priests had a vision in a dream. In the dream, the Mexica’s patron deity instructed his people to look in the swamp for a cactus. Standing on the cactus, the god promised, “you shall see an eagle…warming itself in the sun.” And [the next morning], once more, they went in among the rushes, in among the reeds, to the edge of the spring. And when they came out into the reeds, There at the edge of the spring was the tenochtli [a cactus fruit], And they saw an eagle on the tenochtli, perched on it, standing on it. It was eating something, it was feeding, It was pecking at what it was eating. And when the eagle saw the Mexica, he bowed his head low. Its nest, its pallet, was of every kind of precious feather— Of lovely cotinga feathers, roseate spoonbill feathers, quetzal feathers. And they also saw strewn about the heads of sundry birds, The heads of precious birds strung together, And some birds’ feet and bones. And the god called out to them, he said to them, “Oh Mexica, it shall be there!” (But the Mexica did not see who spoke.) It was for this reason that they call it Tenochtitlan. And the Mexica wept, they said, “Oh happy, oh blessed are we! We have beheld the city that shall be ours! Let us go now, let us rest….” This was in the year…1325. In this way came into being Tenochtitlan, sole rival, in size and opulence, to Teotihuacan. Among the Mexica, a council of clan elders chose the overall ruler. Or, rather, chose the overall rulers—the Mexica divided authority between a tlatoani (literally, “speaker”), a diplomatic and military commander who controlled relations with other groups, and a cihuacoatl (literally, “female serpent”), who supervised internal affairs. For a century after Tenochtitlan’s birth, the tlatoani’s position was unenviable. The Mexica were subordinated by a nearby city-state on the shore, and the tlatoani was forced to send Mexica men as conscripts for its wars. Only in 1428 did Itzacoatl, a newly selected tlatoani, ally with two other small vassal states to overthrow their mutual overlords. In victory, the three groups officially formed the Triple Alliance, with the Mexica the most powerful leg of the tripod. Like Tawantinsuyu, the empire grew rapidly. Its presiding genius was not Itzacoatl, though, but his nephew Tlacaelel (1398–1480). During his long life Tlacaelel was twice offered the position of tlatoani but turned it down both times. Preferring the less glorious and supposedly less influential position of cihuacoatl, head of internal affairs, he ruled from behind the scenes, dominating the Alliance for more than fifty years and utterly reengineering Mexica society. Born to an elite family, Tlacaelel first became known at the age of thirty, when he inspired the Mexica to revolt against their masters, supervised the gestation of the Alliance, and served as Itzacoatl’s general during the assault. After the victory he met with Itzacoatl and the Mexica clan leaders. In addition to taking slaves and booty, wartime victors in central Mexico often burned their enemies’ codices, the hand-painted picture-texts in which priests recorded their people’s histories. Tlacaelel insisted that in addition to destroying the codices of their former oppressors the Mexica should set fire to their own codices. His explanation for this idea can only be described as Orwellian: “It is not fitting that our people / Should know these pictures. / Our people, our subjects, will be lost / And our land destroyed, / For these pictures are full of lies.” The “lies” were the inconvenient fact that the Mexica past was one of poverty and humiliation. To motivate the people properly, Tlacaelel said, the priesthood should rewrite Mexica history by creating new codices, adding in the great deeds whose lack now seemed embarrassing and adorning their ancestry with ties to the Toltecs and Teotihuacan. A visionary and patriot, Tlacaelel believed that the Mexica were destined to rule a vast empire. But because ambition succeeds best when disguised by virtue, he wanted to furnish the Alliance with an animating ideology—a manifest destiny, as it were, or mission civilisatrice. He came up with a corker: a theogony that transformed the Mexica into keepers of the cosmic order. At its center was Huitzilopochtli, a martial god who wore a helmet shaped like a hummingbird’s head and carried a fire-breathing serpent as a weapon. Huitzilopochtli had long been the Mexica’s patron deity. It was he who had entered the Mexica priest’s dream to explain where to found Tenochtitlan. After the formation of the Triple Alliance, Tlacaelel “went about persuading the people,” as one Mexica historian wrote, that Huitzilopochtli was not a mere tutelary deity, but a divinity essential to the fate of humankind. At the apex of the celestial hierarchy stood Ometeotl, the omnipresent sustainer of the cosmos, “the Lord of the Close Vicinity” in Nahuatl. In Tlacaelel’s vision, Ometeotl had four sons, one of whom was Huitzilopochtli. These four sons had been vying for supremacy since the beginning of time; the history of the universe was mainly a record of their endless struggle. At intervals the brothers would wrestle themselves into a precarious equilibrium, like sumo giants straining motionlessly against each other in the ring, with one brother on top and the other three in a temporary, isometric balance below. In these interregnums of order, Tlacaelel explained, the topmost brother linked himself to the sun, on which all living creatures depend. In some versions of the story, the brother became the sun; in others, he merely supervised its workings. Either way, life could exist only when one brother held sway and the cosmic battle quieted and the sun was able to shine. But when the balance came apart, as it always did, the brothers would resume their strife. The sun would go dark, sinking the cosmos into an endless, lethal night. Eventually the sons would arrive at a new transitory order and reignite the sun, letting existence begin anew. This apocalyptic cycle had occurred four times before. The Mexica lived during the Fifth Sun, when the sun was identified with Huitzilopochtli. The sun’s role was hellishly difficult, Tlacaelel said. Even when the strife among Ometeotl’s sons quieted enough to allow the sun to shine, it still had to battle the stars and moon every day as it rose in the sky—a literal struggle of light against darkness. Each day of sunlight was a victory that must be fought and won again the next day. Because the sun could not hold out forever against its foes, one sixteenth-century Nahuatl account explained, it would one day inevitably lose—there was no getting around it. “In this Sun it shall come to pass / That the earth shall move, / That there shall be famine, / And that we all shall perish.” But the calamity could be postponed, at least for a while, if the sun was fortified for its battles with the stars. To gain strength, the sun needed chalch?huatl—the mysterious, ineffable fluid of life-energy. The sacred mission of the Triple Alliance, Tlacaelel proclaimed, was to furnish this vital substance to Huitzilopochtli, who would then use it for the sun, postponing the death of everyone on the planet. There was but one method for obtaining this life-energy: ritual human sacrifice. To obtain the victims, Tlacaelel said (according to one of Sahag?n’s contemporaries), the sun needed a “marketplace” where he could “go with his army [that is, the army of the Triple Alliance] to buy victims, men for him to eat…. And this will be a good thing, for it will be as if he had his maize cakes hot from the griddle—tortillas from a nearby place, hot and ready to eat whenever he wishes them.” Occasionally the victims were slaves and criminals, but mainly they were prisoners of war. In this way the sacred mission of the Triple Alliance became translated into a secular mission: to obtain prisoners to sacrifice for the sun, the Alliance had to take over the world. In Tlacaelel’s scheme, imperial conquests were key to “the moral combat against evil,” explained Miguel Le?n-Portilla, a Mexican historian who has devoted much of his career to analyzing Mexica thought. “The survival of the universe depended on them.” Human sacrifice is such a charged subject that its practice by the Triple Alliance has inevitably become shrouded in myths. Two are important here. The first is that human sacrifice was never practiced—the many post-conquest accounts of public death-spectacles are all racist lies. It was indeed in the Spanish interest to exaggerate the extent of human sacrifice, because ending what Cort?s called this “most horrid and abominable custom” became a post hoc rationale for conquest. But the many vividly depicted ceremonies in Mexica art and writing leave little doubt that it occurred—and on a large scale. (Cort?s may well have been correct when he estimated that sacrifice claimed “three or four thousand souls” a year.) The second myth is that in its appetite for death as spectacle the Triple Alliance was fundamentally different from Europe. Criminals beheaded in Palermo, heretics burned alive in Toledo, assassins drawn and quartered in Paris—Europeans flocked to every form of painful death imaginable, free entertainment that drew huge crowds. London, the historian Fernand Braudel tells us, held public executions eight times a year at Tyburn, just north of Hyde Park. (The diplomat Samuel Pepys paid a shilling for a good view of a Tyburn hanging in 1664; watching the victim beg for mercy, he wrote, was a crowd of “at least 12 or 14,000 people.”) In most if not all European nations, the bodies were impaled on city walls and strung along highways as warnings. “The corpses dangling from trees whose distant silhouettes stand out against the sky, in so many old paintings, are merely a realistic detail,” Braudel observed. “They were part of the landscape.” Between 1530 and 1630, according to Cambridge historian V. A. C. Gatrell, England executed seventy-five thousand people. At the time, its population was about three million, perhaps a tenth that of the Mexica empire. Arithmetic suggests that if England had been the size of the Triple Alliance, it would have executed, on average, about 7,500 people per year, roughly twice the number Cort?s estimated for the empire. France and Spain were still more bloodthirsty than England, according to Braudel. In their penchant for ceremonial public slaughter, the Alliance and Europe were more alike than either side grasped. In both places the public death was accompanied by the reading of ritual scripts. And in both the goal was to create a cathartic paroxysm of loyalty to the government—in the Mexica case, by recalling the spiritual justification for the empire; in the European case, to reassert the sovereign’s divine power after it had been injured by a criminal act. Most important, neither society should be judged—or in the event judged each other—entirely by its brutality. Who today would want to live in the Greece of Plato and Socrates, with its slavery, constant warfare, institutionalized pederasty, and relentless culling of surplus population? Yet Athens had a coruscating tradition of rhetoric, lyric drama, and philosophy. So did Tenochtitlan and the other cities in the Triple Alliance. In fact, the corpus of writings in classical Nahuatl, the language of the Alliance, is even larger than the corpus of texts in classical Greek. The Nahuatl word tlamatini (literally, “he who knows things”) meant something akin to “thinker-teacher”—a philosopher, if you will. The tlamatini, who “himself was writing and wisdom,” was expected to write and maintain the codices and live in a way that set a moral example. “He puts a mirror before others,” the Mexica said. In what may have been the first large-scale compulsory education program in history, every male citizen of the Triple Alliance, no matter what his social class, had to attend one sort of school or another until the age of sixteen. Many tlamatinime (the plural form of the word) taught at the elite academies that trained the next generation of priests, teachers, and high administrators. Like Greek philosophy, the teachings of the tlamatinime were only tenuously connected to the official dogma of Tlacaelel. (To be sure, Plato does have Socrates subtly “correct” Homer, because the gods supposedly couldn’t have behaved in the immoral way described by the poet. But by and large the Greek pantheon on Mount Olympus plays no role in either Plato or Aristotle.) But the tlamatinime shared the religion’s sense of the evanescence of existence. “Truly do we live on Earth?” asked a poem or song attributed to Nezahualc?yotl (1402–72), a founding figure in Mesoamerican thought and the tlatoani of Texcoco, one of the other two members of the Triple Alliance. His lyric, among the most famous in the Nahuatl canon, answers its own question: Not forever on earth; only a little while here. Be it jade, it shatters. Be it gold, it breaks. Be it a quetzal feather, it tears apart. Not forever on earth; only a little while here. In another verse assigned to Nezahualc?yotl this theme emerged even more baldly: Like a painting, we will be erased. Like a flower, we will dry up here on earth. Like plumed vestments of the precious bird, That precious bird with the agile neck, We will come to an end. Contemplating mortality, thinkers in many cultures have drawn solace from the prospect of life after death. This consolation was denied to the Mexica, who were agonizingly uncertain about what happened to the soul. “Do flowers go to the region of the dead?” Nezahualc?yotl asked. “In the Beyond, are we still dead or do we live?” Many if not most tlamatinime saw existence as Nabokov feared: “a brief crack of light between two eternities of darkness.” In Nahuatl rhetoric, things were frequently represented by the unusual device of naming two of their elements—a kind of doubled Homeric epithet. Instead of directly mentioning his body, a poet might refer to “my hand, my foot” (noma nocxi), which the savvy listener would know was a synecdoche, in the same way that readers of English know that writers who mention “the crown” are actually talking about the entire monarch, and not just the headgear. Similarly, the poet’s speech would be “his word, his breath” (itlatol ihiyo). A double-barreled term for “truth” is neltilitztli tzintliztli, which means something like “fundamental truth, true basic principle.” In Nahuatl, the words almost shimmer with connotation: what was true was well grounded, stable and immutable, enduring above all. Because we human beings are transitory, our lives as ephemeral as dreams, the tlamatinime suggested that immutable truth is by its nature beyond human experience. On the ever-changing earth, wrote Le?n-Portilla, the Mexican historian, “nothing is ‘true’ in the Nahuatl sense of the word.” Time and again, the tlamatinime wrestled with this dilemma. How can beings of the moment grasp the perduring? It would be like asking a stone to understand mortality. According to Le?n-Portilla, one exit from this philosophical blind alley was seen by the fifteenth-century poet Ayocuan Cuetzpaltzin, who described it metaphorically, as poets will, by invoking the coyolli bird, known for its bell-like song: He goes his way singing, offering flowers. And his words rain down Like jade and quetzal plumes. Is this what pleases the Giver of Life? Is that the only truth on earth? Ayocuan’s remarks cannot be fully understood out of the Nahuatl context, Le?n-Portilla argued. “Flowers and song” was a standard double epithet for poetry, the highest art; “jade and quetzal feathers” was a synecdoche for great value, in the way that Europeans might refer to “gold and silver.” The song of the bird, spontaneously produced, stands for aesthetic inspiration. Ayocuan was suggesting, Le?n-Portilla said, that there is a time when humankind can touch the enduring truths that underlie our fleeting lives. That time is at the moment of artistic creation. “From whence come the flowers [the artistic creations] that enrapture man?” asks the poet. “The songs that intoxicate, the lovely songs?” And he answers: “Only from His [that is, Ometeotl’s] home do they come, from the innermost part of heaven.” Through art alone, the Mexica said, can human beings approach the real. Cut short by Cort?s, Mexica philosophy did not have the chance to reach as far as Greek or Chinese philosophy. But surviving testimony intimates that it was well on its way. The stacks of Nahuatl manuscripts in Mexican archives depict the tlamatinime meeting to exchange ideas and gossip, as did the Vienna Circle and the French philosophes and the Taisho-period Kyoto school. The musings of the tlamatinime occurred in intellectual neighborhoods frequented by philosophers from Brussels to Beijing, but the mix was entirely the Mexica’s own. Voltaire, Locke, Rousseau, and Hobbes never had a chance to speak with these men or even know of their existence—and here, at last, we begin to appreciate the enormity of the calamity, for the distintegration of native America was a loss not just to those societies but to the human enterprise as a whole. Having grown separately for millennia, the Americas were a boundless sea of novel ideas, dreams, stories, philosophies, religions, moralities, discoveries, and all the other products of the mind. Few things are more sublime or characteristically human than the cross-fertilization of cultures. The simple discovery by Europe of the existence of the Americas caused an intellectual ferment. How much grander would have been the tumult if Indian societies had survived in full splendor! Here and there we see clues to what might have been. Pacific Northwest Indian artists carved beautiful masks, boxes, bas-reliefs, and totem poles within the dictates of an elaborate aesthetic system based on an ovoid shape that has no name in European languages. British ships in the nineteenth century radically transformed native art by giving the Indians brightly colored paints that unlike native pigments didn’t wash off in the rain. Indians incorporated the new pigments into their traditions, expanding them and in the process creating an aesthetic nouvelle vague. European surrealists came across this colorful new art in the first years of the twentieth century. As artists will, they stole everything they could, transfiguring the images further. Their interest helped a new generation of indigenous artists to explore new themes. Now envision this kind of fertile back-and-forth happening in a hundred ways with a hundred cultures—the gifts from four centuries of intellectual exchange. One can hardly imagine anything more valuable. Think of the fruitful impact on Europe and its descendants from contacting Asia. Imagine the effect on these places and people from a second Asia. Along with the unparalleled loss of life, that is what vanished when smallpox came ashore. ASSIGNING BLAME Weighing loss of such scale, one naturally wants to identify and denounce the responsible party. In the case of the Mexica, the obvious target is Hern?n Cort?s, who landed near what is now the city of Veracruz on April 22, 1519. An astute politician, Cort?s studied the Triple Alliance with a view to dismembering it. The empire, he quickly understood, was anything but unified. Like Tawantinsuyu, it was a patchwork of satrapies rather than a unified state; indeed, several large groups within the Alliance had managed to hang on to their independence despite being surrounded by hostile forces. Although the empire left the original elites of conquered lands in place, it humiliated them. The people, forced to disgorge ever-increasing tribute to Tenochtitlan, were resentful and bitter. Cort?s divined the discontent beneath the Alliance’s martial display and would later benefit from it. Marching inland from the sea, the Spanish at first fought repeatedly with Tlaxcala, a confederation of four small kingdoms that had maintained its independence despite repeated Alliance incursions. Thanks to their guns, horses, and steel blades, the foreigners won every battle, even with Tlaxcala’s huge numerical advantage. But Cort?s’s force shrank with every fight. He was on the verge of losing everything when the four Tlaxcala kings abruptly reversed course. Concluding from the results of their battles that they could wipe out the Europeans, though at great cost, the Indian leaders offered what seemed a win-win deal: they would stop attacking Cort?s, sparing his life, the lives of the surviving Spaniards, and those of many Indians, if he in return would join with Tlaxcala in a united assault on the hated Triple Alliance. To seal the partnership, one of the four kings—Tlaxcala’s main military leader—betrothed his daughter to Pedro de Alvarado, Cort?s’s second-in-command. Mounted on their strange, monstrous beasts, the Spanish rode at the forefront of an army of perhaps twenty thousand Tlaxcalans. In November 1519, they entered Tenochtitlan, brushing by the objections of the startled and indecisive tlatoani, the famous Motecuhzoma (pronounced a bit like Mo-tayk-SZU-ma; he is better known, inaccurately, as Montezuma). TRIPLE ALLIANCE, 1519 A.D. Tenochtitlan dazzled its invaders—it was bigger than Paris, Europe’s greatest metropolis. The Spaniards gawped like yokels at the wide streets, ornately carved buildings, and markets bright with goods from hundreds of miles away. Boats flitted like butterflies around the three grand causeways that linked Tenochtitlan to the mainland. Long aqueducts conveyed water from the distant mountains across the lake and into the city. Even more astounding than the great temples and immense banners and colorful promenades were the botanical gardens—none existed in Europe. The same novelty attended the force of a thousand men that kept the crowded streets immaculate. (Streets that weren’t ankle-deep in sewage! The conquistadors had never conceived of such a thing.) And the whole of this wealth and power, Cort?s subsequently explained to the Spanish king, flowed into the hands of Motecuhzoma. Can there be anything more magnificent than that this barbarian lord should have all the things to be found under the heavens in his domain, fashioned in gold and silver and jewel and feathers? And so realistic in gold and silver that no smith in the world could have done better? And in jewels so fine that it is impossible to imagine with what instruments they were cut so perfectly?…In Spain there is nothing to compare with it. Dazzled as he was, Cort?s was also aware that with a single command Motecuhzoma could order his army “to obliterate all memory of us.” The Spaniards counteracted this threat by inventing a pretext to seize the tlatoani in his own palace, making him first their captive and then their puppet. In both Europe and Mesoamerica kings ruled by the dispensation of the heavens. The Mexica reacted to the sacrilegious abduction of their leader with the same baffled horror with which Europeans later reacted to Cromwell’s execution of Charles I in 1649. Not wanting to act in a way that could result in Motecuhzoma’s death, the Mexica took seven months to mount a counterattack. Fearing the worst, the debased tlatoani made a begging public appearance on behalf of the Spanish. He soon died, either murdered by the Spaniards (according to Mexica accounts) or slain by his own countrymen (as Spanish chronicles tell it). Soon after came the long-delayed assault. Under the leadership of a vigorous new tlatoani, Cuitlahuac, the Indians forced the invaders into narrow alleys where horses were of little advantage. Under a pitiless hail of spears, darts, and arrows, Cort?s and his men retreated down the long causeways that linked the island city to the mainland. In a single brutal night the Mexica utterly vanquished Cort?s, killing three-quarters of his men. Although the Alliance destroyed the causeways in front of the Spaniards, the remnants of the invaders were able to cross the gaps because they were so choked with the dead that the men could walk on the bodies of their countrymen. Because the Mexica did not view the goal of warfare as wiping out enemies to the last man, they did not hunt down the last Spaniards. A costly mistake: Cort?s was among the escapees. An enormous, opulent city of canals and (mostly) artificial islands in the middle of a great mountain lake, the Mexica capital of Tenochtitlan stunned the conquistadors when they first saw it. This reconstruction, a mural by the artist Miguel Covarrubias, in Mexico City’s great archaeology museum, underplays the busyness of the city; eyewitness accounts report that clouds of boats darted around its edges and through its canals. A man of unfathomable determination, Cort?s never thought of giving up. He persuaded several other vassal states to join his anti-Alliance alliance with Tlaxcala. Negotiating furiously, he assembled a force of as many as 200,000 men and built thirteen big ships in an audacious plan to assault Tenochtitlan from the water. He followed this plan and ever after has been identified by history as the city’s conqueror. But all of his bold resolve would have come to nothing without the vast indigenous army whose leaders believed they could use the Spanish presence to catalyze the destruction of the Triple Alliance. And even this enormous force might not have overcome the empire if while Cort?s was building his ships Tenochtitlan had not been swept by smallpox in the same pandemic that later wiped out Tawantinsuyu. Without any apparent volition by Cort?s, the great city lost at least a third of its population to the epidemic, including Cuitlahuac. ? Sixteenth-century Mexica drawings of smallpox, the disease that destroyed the empire by crippling the defenders of Tenochtitlan in the battle against Cort?s and his native allies. “An epidemic broke out, a sickness of pustules,” begins the account in Bernardino de Sahag?n’s General History of the Things of New Spain (ca. 1575, in James Lockhart’s translation). “Large bumps spread on people, some were entirely covered. They spread everywhere, on the face, the head, the chest, etc…. [Victims] could no longer walk about, but lay in their dwellings and sleeping places, no longer able to move or stir. They were unable to change position, to stretch out on their sides or face down, or raise their heads…. The pustules that covered people caused great desolation; very many people died of them, and many just starved to death; starvation reigned, and no one took care of others any longer.” The drawing at left, from a sixteenth-century codex, is a winter-count-like depiction of a year dominated by smallpox; two men lie dying or dead, their bodies spotted with pustules. The drawing below, from the General History, shows cries of pain escaping from victims’ lips. When Cort?s and his Indian allies finally attacked, the Mexica resisted so fiercely despite their weakness that the siege has often been described as the costliest battle in history—casualty estimates range up to 100,000. Absent smallpox, it seems likely that Cort?s would have lost. In the event, he was able to take the city only by systematically destroying it. The Alliance capitulated on August 21, 1521. It was the end of an imperial tradition that dated back to Teotihuacan a millennium before. Cort?s was directly responsible for much of the carnage in Tenochtitlan, but the war was only a small part of a larger catastrophe for which blame is harder to assign. When Cort?s landed, according to the Berkeley researchers Cook and Borah, 25.2 million people lived in central Mexico, an area of about 200,000 square miles. After Cort?s, the population of the entire region collapsed. By 1620–25, it was 730,000, “approximately 3 percent of its size at the time that he first landed.” Cook and Borah calculated that the area did not recover its fifteenth-century population until the late 1960s. From Bartolom? de Las Casas on, Europeans have known that their arrival brought about a catastrophe for Native Americans. “We, Christians, have destroyed so many kingdoms,” reflected Pedro Cieza de Le?n, the traveler in postconquest Peru. “For wherever the Spaniards have passed, conquering and discovering, it is as though a fire had gone, destroying everything in its path.” And since Las Casas historians, clerics, and political activists have debated whether Europeans and their descendants in the Americas are morally culpable for the enormous Indian losses. Indeed, some writers have employed the loaded term “holocaust” to describe the contact and its aftermath. Following in its train, inevitably, has come an even more potent label: genocide. Europe’s defenders argue that the mass deaths cannot be described as genocide. The epidemics often were not even known to Europeans, still less deliberately caused by them. For that reason, they fall into a different moral class than the Jewish Holocaust, which was a state policy of mass murder. “Very probably the greatest demographic disaster in history, the depopulation of the New World, for all its terror and death, was largely an unintended tragedy,” wrote Steven Katz in his monumental Holocaust in Historical Context. The wave of Indian deaths, in his view, was “a tragedy that occurred despite the sincere and indisputable desire of the Europeans to keep the Indian population alive.” Berkeley researchers Cook and Borah spent decades reconstructing the population of the former Triple Alliance realm in the wake of the Spanish conquest. By combining colonial-era data from many sources, the two men estimated that the number of people in the region fell from 25.2 million in 1518, just before Cort?s arrived, to about 700,000 in 1623—a 97 percent drop in little more than a century. (Each marked date is one for which they presented a population estimate.) Using parish records, Mexican demographer Elsa Malvido calculated the sequence of epidemics in the region, portions of which are shown here. Dates are approximate, because epidemics would last several years. The identification of some diseases is uncertain as well; for example, sixteenth-century Spaniards lumped together what today are seen as distinct maladies under the rubric “plague.” In addition, native populations were repeatedly struck by “cocoliztli,” a disease the Spanish did not know but that scientists have suggested might be a rat-borne hantavirus—spread, in part, by the postconquest collapse of Indian sanitation measures. Both reconstructions are tentative, but the combined picture of catastrophic depopulation has convinced most researchers in the field. Katz overstates his case. True, the conquistadors did not want the Indians to die off en masse. But that desire did not stem from humanitarian motives. Instead, the Spanish wanted native peoples to use as a source of forced labor. In fact, the Indian deaths were such a severe financial blow to the colonies that they led, according to Borah, to an “economic depression” that lasted “more than a century.” To resupply themselves with labor, the Spaniards began importing slaves from Africa. Later on, some of the newcomers indeed campaigned in favor of eradicating natives. The poet-physician Oliver Wendell Holmes Sr., for instance, regarded the Indian as but “a sketch in red crayon of a rudimental manhood.” To the “problem of his relation to the white race,” Holmes said, there was one solution: “extermination.” Following such impulses, a few Spanish—and a few French, Portuguese, and British—deliberately spread disease. Many more treated Indians cruelly, murderously so, killing countless thousands. But the pain and death caused from the deliberate epidemics, lethal cruelty, and egregious racism pale in comparison to those caused by the great waves of disease, a means of subjugation that the Europeans could not control and in many cases did not know they had. How can they be morally culpable for it? Not so fast, say the activists. Europeans may not have known about microbes, but they thoroughly understood infectious disease. Almost 150 years before Columbus set sail, a Tartar army besieged the Genoese city of Kaffa. Then the Black Death visited. To the defenders’ joy, their attackers began dying off. But triumph turned to terror when the Tartar khan catapulted the dead bodies of his men over the city walls, deliberately creating an epidemic inside. The Genoese fled Kaffa, leaving it open to the Tartars. But they did not run away fast enough; their ships spread the disease to every port they visited. Coming from places that had suffered many such experiences, Europeans fully grasped the potential consequences of smallpox. “And what was their collective response to this understanding?” asked Ward Churchill, a professor of ethnic studies at the University of Colorado at Boulder. Did they recoil in horror and say, “Wait a minute, we’ve got to halt the process, or at least slow it down until we can get a handle on how to prevent these effects”? Nope. Their response pretty much across-the-board was to accelerate their rate of arrival, and to spread out as much as was humanly possible. But this, too, overstates the case. Neither European nor Indian had a secular understanding of disease. “Sickness was the physical manifestation of the will of God,” Robert Crease, a philosopher of science at the State University of New York at Stony Brook, told me. “You could pass it on to someone, but doing that was like passing on evil, or bad luck, or a bad spirit—the transmission also reflected God’s will.” The conquistadors knew the potential impact of disease, but its actual impact, which they could not control, was in the hands of God. The Mexica agreed. In all the indigenous accounts of the conquest and its aftermath, the anthropologist J. Jorge Klor de Alva observed, the Mexica lament their losses, but, “the Spaniards are rarely judged in moral terms, and Cort?s is only sporadically considered a villain. It seems to be commonly understood”—at least by this bleakly philosophical, imperially minded group—“that the Spaniards did what any other group would have done or would have been expected to do if the opportunity had existed.” Famously, the conquistador Bernal D?az de Castillo ticked off the reasons he and others joined Cort?s: “to serve God and His Majesty [the king of Spain], to give light to those who were in darkness, and to grow rich, as all men desire to do.” In D?az’s list, spiritual and material motivations were equally important. Cort?s was constantly preoccupied by the search for gold, but he also had to be restrained by the priests accompanying him from promulgating the Gospel in circumstances sure to anger native leaders. After the destruction of Tenochtitlan, the Spanish court and intellectual elite were convulsed with argument for a century about whether the conversions were worth the suffering inflicted. Many believed that even if Indians died soon after conversion, good could still occur. “Christianity is not about getting healthy, it’s about getting saved,” Crease said, summarizing. Today few Christians would endorse this argument, but that doesn’t make it any easier to assign the correct degree of blame to their ancestors. In an editorial about Black’s analysis of Indian HLA profiles, Jean-Claude Salomon, a medical researcher at France’s Centre National de la Recherche Scientifique, asked if the likely inevitability of native deaths could “reduce the historical guilt of Europeans.” In a sense it does, Salomon wrote. But it did not let the invaders off the hook—they caused huge numbers of deaths, and knew that they had done it. “Those who carried the microbes across the Atlantic were responsible, but not guilty,” Salomon concluded. Guilt is not readily passed down the generations, but responsibility can be. A first step toward satisfying that responsibility for Europeans and their descendants in North and South America would be to treat indigenous people today with respect—something that, alas, cannot yet be taken for granted. Recognizing and obeying past treaties wouldn’t be a bad idea, either. ISN’T THIS ALL JUST REVISIONISM? Yes, of course—except that it’s more like re-revisionism. The first European adventurers in the Western Hemisphere did not make careful population counts, but they repeatedly described indigenous America as a crowded, jostling place—“a beehive of people,” as Las Casas put it in 1542. To Las Casas, the Americas seemed so thick with people “that it looked as if God has placed all of or the greater part of the entire human race in these countries.” So far as is known, Las Casas never tried to enumerate the original native population. But he did try to calculate how many died from Spanish disease and brutality. In Las Casas’s “sure, truthful estimate,” his countrymen in the first five decades after Columbus wiped out “more than twelve million souls, men and women and children; and in truth I believe, without trying to deceive myself, that it was more than fifteen million.” Twenty years later, he raised his estimate of Indian deaths—and hence of the initial population—to forty million. Las Casas’s successors usually shared his ideas—the eighteenth-century Jesuit Francisco Javier Clavijero, for example, asserted that the pre-Columbian population of Mexico alone was thirty million. But gradually a note of doubt crept in. To most historians, the colonial accounts came to seem exaggerated, though exactly why was not often explained. (“Sixteenth-century Europeans,” Cook and Borah dryly remarked, “did indeed know how to count.”) Especially in North America, historians’ guesses at native numbers kept slipping down. By the 1920s they had dwindled to forty or fifty million in the entire hemisphere—about the number that Las Casas believed had died in Mesoamerica alone. Twenty years after that, the estimates had declined by another factor of five. Today the picture has reversed. The High Counters seem to be winning the argument, at least for now. No definitive data exist, but the majority of the extant evidentiary scraps indicate it. “Most of the arrows point in that direction,” Denevan said to me. Zambardino, the computer scientist who decried the margin of error in these estimates, noted that even an extremely conservative extrapolation of known figures would still project a precontact population in central Mexico alone of five to ten million, “a very high population, not only in terms of the sixteenth century, but indeed on any terms.” Even Henige, of Numbers from Nowhere, is no Low Counter. In Numbers from Nowhere, he argues that “perhaps 40 million throughout the Western Hemisphere” is a “not unreasonable” figure—putting him at the low end of the High Counters, but a High Counter nonetheless. Indeed, it is the same figure provided by Las Casas, patron saint of High Counters, foremost among the old Spanish sources whose estimates Henige spends many pages discounting. To Fenn, the smallpox historian, the squabble over the number of deaths and the degree of blame obscures something more important. In the long run, Fenn says, the consequential finding of the new scholarship is not that many people died but that many people lived. The Americas were filled with an enthusiastically diverse assortment of peoples who had knocked about the continents for millennia. “We are talking about enormous numbers of people,” she told me. “You have to wonder, Who were all these people? And what were they doing?” ? PART TWO Very Old Bones ? Pleistocene Wars POSSIBLY A VERY ODD HAPLOGROUP The last time I spoke with S?rgio D. J. Pena, he was hunting for ancient Indians in modern blood. The blood was sealed into thin, rodlike vials in Pena’s laboratory at the Federal University of Minas Gerais, in Belo Horizonte, Brazil’s third-largest city. To anyone who has seen a molecular biology lab on the television news, the racks of refrigerating tanks, whirling DNA extractors, and gene-sequencing machines in Pena’s lab would look familiar. But what Pena was doing with them would not. One way to describe Pena’s goal would be to say that he was trying to bring back a people who vanished thousands of years ago. Another would be to say that he was wrestling with a scientific puzzle that had resisted resolution since 1840. In that year Peter Wilhelm Lund, a Danish botanist, found thirty skeletons in caves twenty miles north of Belo Horizonte. The caves were named Lagoa Santa, after a nearby village. Inside them were a jumble of remains from people and big, extinct beasts. If the human and animal bones were from the same time period, as their proximity suggested, the implication was that people had been living in the Americas many thousands of years ago, much longer than most scientists then believed. Who were these ancient hunters? Regarding Europe as the world’s intellectual capital, the intrigued Lund sent most of the skeletons to a museum in his native Copenhagen. He was certain that researchers there would quickly study and identify them. Instead the bones remained in boxes, rarely disturbed, for more than a century. Scientists finally examined the Lagoa Santa skeletons in the 1960s. Laboratory tests showed that the bones could be fifteen thousand years old—possibly the oldest human remains in the Western Hemisphere. Lund had noted the skulls’ heavy brows, which are rare in Native Americans. The new measurements confirmed that oddity and suggested that these people were in many ways physically quite distinct from modern Indians, which indicated, at least to some Brazilian archaeologists, that the Lagoa Santa people could not have been the ancestors of today’s native populations. Instead the earliest inhabitants of the Americas must have been some other kind of people. North American researchers tended to scoff at the notion that some mysterious non-Indians had lived fifteen thousand years ago in the heart of Brazil, but South Americans, Pena among them, were less dismissive. Pena had studied and worked for twelve years overseas, mainly in Canada and the United States. He returned in 1982 to Belo Horizonte, a surging, industrial city in the nation’s east-central highlands. In Brazilian terms, it was like abandoning a glamorous expatriate life in Paris to come back to Chicago. Pena had become interested while abroad in using genetics as a historical tool—studying family trees and migrations by examining DNA. At Belo Horizonte, he joined the university faculty and founded, on the side, Brazil’s first DNA-fingerprinting company, providing paternity tests for families and forensic studies for the police. He taught, researched, published in prestigious U.S. and European journals, and ran his company. In time he became intrigued by the Lagoa Santa skeletons. The most straightforward way to discover whether the Lagoa Santa people were related to modern Indians, Pena decided, would be to compare DNA from their skeletons with DNA from living Indians. In 1999 his team tried to extract DNA from Lagoa Santa bones. When the DNA turned out to be unusable, Pena came up with a second, more unorthodox approach: he decided to look for Lagoa Santa DNA in the Botocudo. The Botocudo were an indigenous group that lived a few hundred miles north of what is now Rio de Janeiro. (The name comes from botoque, the derogatory Portuguese term for the big wooden discs that the Botocudo inserted in their lower lips and earlobes, distending them outward.) Although apparently never numerous, they resisted conquest so successfully that in 1801 the Portuguese colonial government formally launched a “just war against the cannibalistic Botocudo.” There followed a century of intermittent strife, which slowly drove the Botocudo to extinction. With their slightly bulging brows, deepset eyes, and square jaws, the Botocudo were phenotypically different (that is, different in appearance) from their neighbors—a difference comparable to the difference between West Africans and Scandinavians. More important, some Brazilian scientists believe, the Botocudo were phenotypically similar to the Lagoa Santa people. If the similarity was due to a genetic connection—that is, if the Botocudo were a remnant of an early non-Indian population at Lagoa Santa—studying Botocudo DNA should provide clues to the genetic makeup of the earliest Americans. To discover whether that genetic connection existed, Pena would first have to obtain some Botocudo DNA. This requirement would have seemed to doom the enterprise, because the Botocudo no longer exist. But Pena had an idea—innovative or preposterous, depending on the point of view—of how one might find some Botocudo DNA anyway. All human beings have two genomes. The first is the genome of the DNA in chromosomes, the genome of the famous human genome project, which proclaimed its success with great fanfare in 2000. The second and much smaller genome is of the DNA in mitochondria; it was mapped, to little public notice, in 1981. Mitochondria are minute, bean-shaped objects, hundreds of which bob about like so much flotsam in the warm, salty envelope of the cell. The body’s chemical plants, they gulp in oxygen and release the energy-rich molecules that power life. Mitochondria are widely believed to descend from bacteria that long ago somehow became incorporated into one of our evolutionary ancestors. They replicate themselves independently of the rest of the cell, without using its DNA. To accomplish this, they have their own genome, a tiny thing with fewer than fifty genes, left over from their former existence as free-floating bacteria. Because sperm cells are basically devoid of mitochondria, almost all of an embryo’s mitochondria come from the egg. Children’s mitochondria are thus in essence identical to their mother’s. *14 More than that, every woman’s mitochondrial DNA is identical not only to her mother’s mitochondrial DNA, but to that of her mother’s mother’s mitochondrial DNA, and her mother’s mother’s mother’s mitochondrial DNA, and so on down the line for many generations. The same is not true for men. Because fathers don’t contribute mitochondrial DNA to the embryo, the succession occurs only through the female line. In the late 1970s several scientists realized that an ethnic group’s mitochondrial DNA could provide clues to its ancestry. Their reasoning was complex in detail, but simple in principle. People with similar mitochondria have, in the jargon, the same “haplogroup.” If two ethnic groups share the same haplogroup, it is molecular proof that the two groups are related; their members belong to the same female line. In 1990 a team led by Douglas C. Wallace, now at the University of California at Irvine, discovered that just four mitochondrial haplogroups account for 96.9 percent of Native Americans—another example of Indians’ genetic homogeneity, but one without any known negative (or positive) consequences. Three of the four Indian haplogroups are common in southern Siberia. Given the inheritance rules for mitochondrial DNA, the conclusion that Indians and Siberians share common ancestry seems, to geneticists, inescapable. Wallace’s research gave Pena a target to shoot at. Even as the Brazilian government was wiping out the Botocudos, some Brazilian men of European descent were marrying Botocudo women. Generations later, the female descendants of those unions should still have mitochondria identical to the mitochondria of their female Botocudo ancestors. In other words, Pena might be able to find ancient American DNA hidden in Brazil’s European population. Pena had blood samples from people who believed their grandparents or great-grandparents were Indians and who had lived in Botocudo territory. “I’m looking for, possibly, a very odd haplogroup,” he told me. “One that is not clearly indigenous or clearly European.” If such a haplogroup turned up in Pena’s assays, it could write a new chapter in the early history of Native Americans. He expected to be searching for a while, and anything he found would need careful confirmation. Since the sixteenth century, the origins of Native Americans have been an intellectual puzzle. *15 Countless amateur thinkers took a crack at the problem, as did anthropologists and archaeologists when those disciplines were invented. The professionals made no secret of their disdain for the amateurs, whom they regarded as annoyances, cranks, or frauds. Unfortunately for the experts, in the 1920s and 1930s their initial theories about the timing of Indians’ entrance into the Americas were proven wrong, and in a way that allowed the crackpots to claim vindication. Thirty years later a new generation of researchers put together a different theory of Native American origins that gained general agreement. But in the 1980s and 1990s a gush of new information about the first Americans came in from archaeological digs, anthropological laboratories, molecular biology research units, and linguists’ computer models. The discoveries once again fractured the consensus about the early American history, miring it in dispute. “It really does seem sometimes that scientific principles are going out the window,” the archaeologist C. Vance Haynes said to me, unhappily. “If you listen to [the dissenting researchers], they want to throw away everything we’ve established.” Haynes was waxing rhetorical—the critics don’t want to jettison everything from the past. But I could understand the reason for his dour tone. Again the experts were said to have been proved wrong, opening a door that until recently was bolted against the crackpots. A field that had seemed unified was split into warring camps. And projects like Pena’s, which not long ago would have seemed marginal, even nutty, now might have to be taken seriously. In another sense, though, Haynes’s unhappy view seemed off the mark. The rekindled dispute over Indian origins has tended to mask a greater archaeological accomplishment: the enormous recent accumulation of knowledge about the American past. In almost every case, Indian societies have been revealed to be older, grander, and more complex than was thought possible even twenty years ago. Archaeologists not only have pushed back the date for humanity’s entrance into the Americas, they have learned that the first large-scale societies grew up earlier than had been believed—almost two thousand years earlier, and in a different part of the hemisphere. And even those societies that had seemed best understood, like the Maya, have been placed in new contexts on the basis of new information. At one point I asked Pena what he thought the reaction would be if he discovered that ancient Indians were, in fact, not genetically related to modern Indians. He was standing by a computer printer that was spewing out graphs and charts, the results of another DNA comparison. “It will seem impossible to believe at first,” he said, flipping through the printout. “But if it is true—and I am not saying that it is—people will ultimately accept it, just like all the other impossible ideas they’ve had to accept.” LOST TRIBES So various were the peoples of the Americas that continent-wide generalizations are risky to the point of folly. Nonetheless, one can say that for the most part the initial Indian-European encounter was less of an intellectual shock to Indians than to Europeans. Indians were surprised when strange-looking people appeared on their shores, but unlike Europeans they were not surprised that such strange people existed. Many natives, seeking to categorize the newcomers, were open to the possibility that they might belong to the realm of the supernatural. They often approached visitors as if they might be deities, possibly calculating, in the spirit of Pascal’s wager, that the downside of an erroneous attribution of celestial power was minimal. The Taino Indians, Columbus reported after his first voyage, “firmly believed that I, with my ships and men, came from the heavens…. Wherever I went, [they] ran from house to house, and to the towns around, crying out, ‘Come! come! and see the men from the heavens!’” On Columbus’s later voyages, his crew happily accepted godhood—until the Taino began empirically testing their divinity by forcing their heads underwater for long periods to see if the Spanish were, as gods should be, immortal. Motecuhzoma, according to many scholarly texts, believed that Cort?s was the god-hero Quetzalcoatl returning home, in fulfillment of a prophecy. What historian Barbara Tuchman called the emperor’s “wooden-headedness, in the special variety of religious mania” is often said to be why he didn’t order his army to wipe out the Spaniards immediately. But the anthropologist Matthew Restall has noted that none of the conquistadors’ writings mention this supposed apotheosis, not even Cort?s’s lengthy memos to the Spanish king, which go into detail about every other wonderful thing he did. Instead the Quetzalcoatl story first appears decades later. True, the Mexica apparently did call the Spaniards teteo, a term referring both to gods and to powerful, privileged people. The ambiguity captures the indigenous attitude toward the hairy, oddly dressed strangers on their shores: recognition that their presence was important, plus a willingness to believe that such unusual people might have qualities unlike those of ordinary men and women. Similarly, groups like the Wampanoag, Narragansett, and Haudenosaunee in eastern North America also thought at first that Europeans might have supernatural qualities. But this was because Indians north and south regarded Europeans as human beings exactly like themselves. In their view of the world, certain men and women, given the right circumstances, could wield more-than-human powers. If the Wampanoag and Mexica had shamans who could magically inflict sickness, why couldn’t the British? (The Europeans, who themselves believed that people could become witches and magically spread disease, were hardly going to argue.) As a rule, Indians were theologically prepared for the existence of Europeans. In Choctaw lore, for example, the Creator breathed life into not one but many primeval pairs of human beings scattered all over the earth. It could not have been terribly surprising to Choctaw thinkers that the descendants of one pair should show up in the territory of another. Similarly, the Zuni took the existence of Spaniards in stride, though not their actions. To the Zuni, whose accounts of their origins and early history are as minutely annotated as those in the Hebrew Bible, all humankind arose from a small band that faded into existence in a small, dark, womb-like lower world. The sun took pity on these bewildered souls, gave them maize to eat, and distributed them across the surface of the earth. The encounter with Europeans was thus a meeting of long-separated cousins. Contact with Indians caused Europeans considerably more consternation. Columbus went to his grave convinced that he had landed on the shores of Asia, near India. The inhabitants of this previously unseen land were therefore Asians—hence the unfortunate name “Indians.” As his successors discovered that the Americas were not part of Asia, Indians became a dire anthropogonical problem. According to Genesis, all human beings and animals perished in the Flood except those on Noah’s ark, which landed “upon the mountains of Ararat,” thought to be in eastern Turkey. How, then, was it possible for humans and animals to have crossed the immense Pacific? Did the existence of Indians negate the Bible, and Christianity with it? Among the first to grapple directly with this question was the Jesuit educator Jos? de Acosta, who spent a quarter century in New Spain. Any explanation of Indians’ origins, he wrote in 1590, “cannot contradict Holy Writ, which clearly teaches that all men descend from Adam.” Because Adam had lived in the Middle East, Acosta was “forced” to conclude “that the men of the Indies traveled there from Europe or Asia.” For this to be possible, the Americas and Asia “must join somewhere.” If this is true, as indeed it appears to me to be,…we would have to say that they crossed not by sailing on the sea, but by walking on land. And they followed this way quite unthinkingly, changing places and lands little by little, with some of them settling in the lands already discovered and others seeking new ones. [Emphasis added] Acosta’s hypothesis was in basic form widely accepted for centuries. For his successors, in fact, the main task was not to discover whether Indians’ ancestors had walked over from Eurasia, but which Europeans or Asians had done the walking. Enthusiasts proposed a dozen groups as the ancestral stock: Phoenicians, Basques, Chinese, Scythians, Romans, Africans, “Hindoos,” ancient Greeks, ancient Assyrians, ancient Egyptians, the inhabitants of Atlantis, even straying bands of Welsh. But the most widely accepted candidates were the Lost Tribes of Israel. The story of the Lost Tribes is revealed mainly in the Second Book of Kings of the Old Testament and the apocryphal Second (or Fourth, depending on the type of Bible) Book of Esdras. At that time, according to scripture, the Hebrew tribes had split into two adjacent confederations, the southern kingdom of Judah, with its capital in Jerusalem, and the northern kingdom of Israel, with its capital in Samaria. After the southern tribes took to behaving sinfully, divine retribution came in the form of the Assyrian king Shalmaneser V, who overran Israel and exiled its ten constituent tribes to Mesopotamia (today’s Syria and Iraq). Now repenting of their wickedness, the Bible explains, the tribes resolved to “go to a distant land never yet inhabited by man, and there at last to be obedient to their laws.” True to their word, they walked away and were never seen again. Because the Book of Ezekiel prophesizes that in the final days God “will take the children of Israel from among the heathen…and bring them into their own land,” Christian scholars believed that the Israelites’ descendants—Ezekiel’s “children of Israel”—must still be living in some remote place, waiting to be taken back to their homeland. Identifying Indians as these “lost tribes” solved two puzzles at once: where the Israelites had gone, and the origins of Native Americans. Acosta weighed the Indians-as-Jews theory but eventually dismissed it because Indians were not circumcised. Besides, he blithely explained, Jews were cowardly and greedy, and Indians were not. Others did not find his refutation convincing. The Lost Tribes theory was endorsed by authorities from Bartolom? de Las Casas to William Penn, founder of Pennsylvania, and the famed minister Cotton Mather. (In a variant, the Book of Mormon argued that some Indians were descended from Israelites though not necessarily the Lost Tribes.) In 1650 James Ussher, archbishop of Armagh, calculated from Old Testament genealogical data that God created the universe on Sunday, October 23, 4004 B.C. So august was Ussher’s reputation, wrote historian Andrew Dickson White, that “his dates were inserted in the margins of the authorized version of the English Bible, and were soon practically regarded as equally inspired with the sacred text itself.” According to Ussher’s chronology, the Lost Tribes left Israel in 721 B.C. Presumably they began walking to the Americas soon thereafter. Even allowing for a slow passage, the Israelites must have arrived by around 500 B.C. When Columbus landed, the Americas therefore had been settled for barely two thousand years. The Lost Tribes theory held sway until the nineteenth century, when it was challenged by events. As Lund had in Brazil, British scientists discovered some strange-looking human skeletons jumbled up with the skeletons of extinct Pleistocene mammals. The find, quickly duplicated in France, caused a sensation. To supporters of Darwin’s recently published theory of evolution, the find proved that the ancestors of modern humans had lived during the Ice Ages, tens or hundreds of thousands of years ago. Others attacked this conclusion, and the skeletons became one of the casus belli of the evolution wars. Indirectly, the discovery also stimulated argument about the settlement of the Americas. Evolutionists believed that the Eastern and Western Hemispheres had developed in concert. If early humans had inhabited Europe during the Ice Ages, they must also have lived in the Americas at the same time. Indians must therefore have arrived before 500 B.C. Ussher’s chronology and the Lost Tribes scenario were wrong. The nineteenth century was the heyday of amateur science. In the United States as in Europe, many of Darwin’s most ardent backers were successful tradespeople whose hobby was butterfly or beetle collecting. When these amateurs heard that the ancestors of Indians must have come to the Americas thousands of years ago, a surprising number of them decided to hunt for the evidence that would prove it. “BLIND LEADERS OF THE BLIND” In 1872 one such seeker—Charles Abbott, a New Jersey physician—found stone arrowheads, scrapers, and axheads on his farm in the Delaware Valley. Because the artifacts were crudely made, Abbott believed that they must have been fashioned not by historical Indians but by some earlier, “ruder” group, modern Indians’ long-ago ancestors. He consulted a Harvard geologist, who told him that the gravel around the finds was ten thousand years old, which Abbott regarded as proof that Pleistocene Man had lived in New Jersey at least that far in the past. Indeed, he argued, Pleistocene Man had lived in New Jersey for so many millennia that he had probably evolved there. If modern Indians had migrated from Asia, Abbott said, they must have “driven away” these original inhabitants. Egged on by his proselytizing, other weekend bone hunters soon found similar sites with similar crude artifacts. By 1890 amateur scientists claimed to have found traces of Pleistocene Americans in New Jersey, Indiana, Ohio, and the suburbs of Philadelphia and Washington, D.C. Unsurprisingly, Christian leaders rejected Abbott’s claims, which (to repeat) contradicted both Ussher’s chronology and the theologically convenient Lost Tribes theory. More puzzling, at least to contemporary eyes, was the equally vehement objections voiced by professional archaeologists and anthropologists, especially those at the Smithsonian Institution, which had established a Bureau of American Ethnology in 1879. According to David J. Meltzer, a Southern Methodist University archaeologist who has written extensively about the history of his field, the bureau’s founders were determined to set the new disciplines on a proper scientific footing. Among other things, this meant rooting out pseudoscience. The bureau dispatched William Henry Holmes to scrutinize the case for Pleistocene proto-Indians. C. C. Abbott William Henry Holmes Holmes was a rigorous, orderly man with, Meltzer told me, “no sense of humor whatsoever.” Although Holmes in no way believed that Indians were descended from the Lost Tribes, he was also unwilling to believe that Indians or anyone else had inhabited the Americas as far back as the Ice Ages. His determined skepticism on this issue is hard to fathom. True, many of the ancient skeletons in Europe were strikingly different from those of contemporary humans—in fact, they were Neanderthals, a different subspecies or species from modern humans—whereas all the Indian skeletons that archaeologists had seen thus far looked anatomically modern. But why did this lead Holmes to assume that Indians must have migrated to the Americas in the recent past, a view springing from biblical chronology? Underlying his actions may have been bureau researchers’ distaste for “relic hunters” like Abbott, whom they viewed as publicity-seeking quacks. Holmes methodically inspected half a dozen purported Ice Age sites, including Abbott’s farm. In each case, he dismissed the “ancient artifacts” as much more recent—the broken pieces and cast-asides of Indian workshops from the colonial era. In Holmes’s sardonic summary, “Two hundred years of aboriginal misfortune and Quaker inattention and neglect”—this was a shot at Abbott, a Quaker—had transformed ordinary refuse that was at most a few centuries old into a “scheme of cultural evolution that spans ten thousand years.” The Bureau of American Ethnology worked closely with the United States Geological Survey, an independent federal agency founded at the same time. Like Holmes, Geological Survey geologist W. J. McGee believed it was his duty to protect the temple of Science from profanation by incompetent and overimaginative amateurs. Anthropology, he lamented, “is particularly attractive to humankind, and for this reason the untrained are constantly venturing upon its purlieus; and since each heedless adventurer leads a rabble of followers, it behooves those who have at heart the good of the science…to bell the blind leaders of the blind.” To McGee, one of the worst of these “heedless adventurers” was Abbott, whose devotion to his purported Pleistocene Indians seemed to McGee to exemplify the worst kind of fanaticism. Abbott’s medical practice collapsed because patients disliked his touchy disposition and crackpot sermons about ancient spear points. Forced to work as a clerk in Trenton, New Jersey, a town he loathed, he hunted for evidence of Pleistocene Indians during weekends on his farmstead. (In truth, the Abbott farm had a lot of artifacts; it is now an official National Historic Landmark.) Bitterly resenting his marginal position in the research world, he besieged scientific journals with angry denunciations of Holmes and McGee, explanations of his own theories, and investigations into the intelligence of fish (“that this class of animals is more ‘knowing’ than is generally believed is, I hold, unquestionable”), birds (“a high degree of intelligence”), and snakes (“neither among the scanty early references to the serpents found in New Jersey, nor in more recent herpetological literature, are there to be found statements that bear directly upon the subject of the intelligence of snakes”). Unsurprisingly, Abbott detested William Henry Holmes, W. J. McGee, and the “scientific men of Washington” who were conspiring against the truth. “The stones are inspected,” he wrote in one of the few doggerel poems ever published in Science, And Holmes cries, “rejected, They’re nothing but Indian chips.” He glanced at the ground, Truth, fancied he found, And homeward to Washington skips…. So dear W.J., There is no more to say, Because you’ll never agree That anything’s truth, But what issues, forsooth, From Holmes or the brain of McGee. Abbott was thrilled when his associate Ernest Volk dug up a human femur deep in the gravel of the farm. Volk had spent a decade searching for Ice Age humans in New Jersey. Gloating that his new discovery was “the key to it all,” Volk sent the bone for examination to a physical anthropologist named Ale? Hrdli ka. (The name, approximately pronounced A-lesh Herd-lish-ka, was a legacy of his birth in Bohemia.) Hrdli ka had seen the Neanderthal skeletons, which did not resemble those of modern humans. Similarly, he believed, ancient Indian skeletons should also differ from those of their descendants. Volk’s femur looked anatomically contemporary. But even if it had looked different, Hrdli ka said, that wouldn’t be enough to prove that the ancestors of Indians walked New Jersey thousands of years ago. Volk and Abbott would also have to prove that the bone was old. Even if a bone looked just like a Neanderthal bone, it couldn’t be classified as one if it had been found in modern construction debris. Only if the archaeological context—the dirt and rock around the find—was established as ancient could the bone be classified as ancient too. In the next quarter century amateur bone hunters discovered dozens of what they believed to be ancient skeletons in what they believed to be ancient sediments. One by one Hrdli ka, who had moved to the Smithsonian and become the most eminent physical anthropologist of his time, shot them down. The skeletons are completely modern, he would say. And the sediments around them were too disturbed to ascertain their age. People dig graves, he reminded the buffs. You should assume from the outset that if you find a skeleton six feet deep in the earth that the bones are a lot newer than the dirt around them. Ale? Hrdli ka With his stern gaze, scowling moustache, and long, thick hair that swept straight back from the forehead, Hrdli ka was the very image of celluloid-collar Authority. He was an indefatigably industrious man who wrote some four hundred articles and books; founded the American Journal of Physical Anthropology; forcefully edited it for twenty-four years; and collected, inspected, and cataloged more than 32,000 skeletons from around the world, stuffing them into boxes at the Smithsonian. By temperament, he was suspicious of anything that smacked of novelty and modishness. Alas, the list of things that he dismissed as intellectual fads included female scientists, genetic analysis, and the entire discipline of statistics—even such simple statistical measures as standard deviations were notably absent from the American Journal of Physical Anthropology. Hrdli ka regarded himself as the conscience of physical anthropology and made it his business to set boundaries. So thoroughly did he discredit all purported findings of ancient Indians that a later director of the Bureau of American Ethnology admitted that for decades it was a career-killer for an archaeologist to claim to have “discovered indications of a respectable antiquity for the Indian.” In Europe, every “favorable cave” showed evidence “of some ancient man,” Hrdli ka proclaimed in March 1928. And the evidence they found in those caves was “not a single implement or whatnot,” but of artifacts in “such large numbers that already they clog some of the museums in Europe.” Not in the Americas, though. “Where are any such things in America?” he taunted the amateurs. “Where are Ale? the implements, the bones of animals upon which these old men have fed?…Where is the explanation of all this? What is the matter?” FOLSOM AND THE GRAYBEARDS Twenty years before Hrdli ka’s mockery, a flash flood tore a deep gully into a ranch in the northeast corner of New Mexico, near the hamlet of Folsom. Afterward ranch foreman George McJunkin checked the fences for damage. Walking along the new gully, he spotted several huge bones projecting from its sides. Born a slave before the Civil War, McJunkin had no formal education—he had only learned to read as an adult. But he was an expert horseman, a self-taught violinist, and an amateur geologist, astronomer, and natural historian. He instantly recognized that the bones did not belong to any extant species and hence must be very old. Believing that his discovery was important, he tried over the years to show the bones to local Folsomites. Most spurned his entreaties. Eventually a white blacksmith in a nearby town came, saw, and got equally excited. McJunkin died in 1922. Four years later, the blacksmith persuaded Jesse D. Figgins, head of the Colorado Museum of Natural History, to send someone to Folsom. Figgins wanted to display a fossil bison in his museum, especially if he could get one of the big varieties that went extinct during the Pleistocene. When he received a favorable report from Folsom, he dispatched a work crew to dig out the bones. Its members quickly stumbled across two artifacts—not crude, Abbott-style arrowheads, but elegantly crafted spear points. They also found that a piece from one of the spear points was pressed into the dirt surrounding a bison bone. Since this type of mammal had last existed thousands of years ago, the spear point and its owner must have been of equivalent antiquity. The spear points both intrigued and dismayed Figgins. His museum had discovered evidence that the Americas had been inhabited during the Pleistocene, a major scientific coup. But this also put Figgins, who knew little about archaeology, in the crosshairs of Ale? Hrdli ka. Early in 1927 Figgins took the spear points to Washington, D.C. He met both Hrdli ka and Holmes, who, to Figgins’s relief, treated him courteously. Hrdli ka told Figgins that if more spear points turned up, he should not excavate them, because that would make it difficult for others to view them in their archaeological and geological context. Instead, he should leave them in the ground and ask the experts to supervise their excavation. Figgins regarded Hrdli ka’s words as a friendly suggestion. But according to Meltzer, the Southern Methodist University anthropologist, the great man’s motives were less charitable. Figgins had sent excavation teams to several areas in addition to Folsom, and had also found implements in them. Encouraged by the increasing number of discoveries, Figgins’s estimation of their import was growing almost daily. Indeed, he was now claiming that the artifacts were half a million years old. Half a million years! One can imagine Hrdli ka’s disgust—Homo sapiens itself wasn’t thought to be half a million years old. By asking Figgins to unearth any new “discoveries” only in the presence of the scientific elite, Hrdli ka hoped to eliminate the next round of quackery before it could take hold. In August 1927 Figgins’s team at Folsom came across a spear point stuck between two bison ribs. He sent out telegrams. Three renowned scientists promptly traveled to New Mexico and watched Figgins’s team brush away the dirt from the point and extract it from the gully. All three agreed, as they quickly informed Hrdli ka, that the discovery admitted only one possible explanation: thousands of years ago, a Pleistocene hunter had speared a bison. After that, Meltzer told me, “the whole forty-year battle was essentially over. [One of three experts, A. V.] Kidder said, ‘This site is real,’ and that was it.” Another of the experts, Barnum Brown of the American Museum of Natural History in New York City, took over the excavations, shouldering Figgins aside. After spending the next summer at Folsom, he introduced the site to the world at a major scientific conference. His speech did not even mention Figgins. Hrdli ka issued his caustic “where are any such things” speech months after learning about Folsom—a disingenuous act. But he never directly challenged the spear points’ antiquity. Until his death in 1943, in fact, he avoided the subject of Folsom, except to remark that the site wasn’t conclusive proof that the Americas were inhabited during the Pleistocene. “He won every battle but lost the war,” Meltzer said. “Every one of the sites that he discredited was, in fact, not from the Pleistocene. He was completely right about them. And he was right to insist that Figgins excavate the Folsom points in front of experts. But Abbott and the rest of the ‘nutcases’ were right that people came much earlier to the Americas.” THE CLOVIS CONSENSUS Early in 1929, the Smithsonian received a letter from Ridgely Whiteman, a nineteen-year-old in the village of Clovis, New Mexico, near the state border with Texas. Whiteman had graduated from high school the previous summer and planned to make his living as a carpenter and, he hoped, as an artist. Wandering in the basins south of Clovis, he observed what looked like immense bones protruding from the dry, blue-gray clay. Whiteman, who was part Indian, was fascinated by Indian lore and had been following the archaeological excitement in Folsom, two hundred miles to the north. He sent a letter to the Smithsonian, informing the staff that he, too, had found “extinct elephant bones” and that someone there should take a look. Surprisingly, the museum responded. Paleontologist Charles Gilmore took the train to Clovis that summer. Clovis is at the southern end of the Llano Estacado (the “Staked Plain”), fifty thousand square miles of flat, almost featureless sand and scrub. Whiteman’s bones were in Blackwater Draw, which during the Pleistocene served as a wide, shallow regional drainage channel, a kind of long, slow-moving lake. As the Ice Ages ended, Blackwater Draw slowly dried up. The continuous flow of water turned into isolated ponds. Game animals congregated around the water, and hunters followed them there. By the time of Gilmore’s visit, Blackwater Draw was an arid, almost vegetation-free jumble of sandy drifts and faces of fractured caliche. In one of archaeology’s great missed opportunities, Gilmore walked around the area for an hour, decided that it was of no interest, and took the train back to Washington. The thumbs-down response stupefied Whiteman, who had already turned up dozens of fossils and artifacts there. On and off, he continued his efforts to attract scholarly interest. In the summer of 1932 a local newspaper reporter put him into contact with Edgar B. Howard, a graduate student at the University of Pennsylvania, who had, one of his assistants later wrote, a “driving mania” to discover a Folsom-like site of his own. Howard had already spent three years combing the Southwest for ancient bones, crawling into rattlesnake caves and taking a pickax to rock faces. Intrigued by Whiteman’s curios, he asked if he could examine them that winter during his down time. Howard took them back to Philadelphia but had no chance to inspect them. A few weeks after his return a construction project near Clovis unearthed more huge bones. Locals gleefully took them away—one bowling-ball-size mammoth molar ended up as a doorstop. After hearing the news, Howard raced back to see what he could salvage. He telegrammed his supervisors on November 16: EXTENSIVE BONE DEPOSIT AT NEW SITE. MOSTLY BISON, ALSO HORSE