(Cambridge Studies in Biological and Evolutionary Anthropology) Debra L. Martin, Cheryl P. Anderson-Bioarchaeological and Forensic Perspectives on Violence_ How Violent-Asin_QSQQY2UDFCBDMVJFDYFGRTEZAXFHRIA4
(Cambridge Studies in Biological and Evolutionary Anthropology) Debra L. Martin, Cheryl P. Anderson-Bioarchaeological and Forensic Perspectives on Violence_ How Violent-Asin_QSQQY2UDFCBDMVJFDYFGRTEZAXFHRIA4
Every year, there are over 1.6 million violent deaths worldwide, making
violence one of the leading public health issues of our time. With the twentieth
century just behind us, it is hard to forget that 191 million people lost their
lives directly or indirectly through conflict.
This collection of engaging case studies on violence and violent deaths
reveals how violence is reconstructed from skeletal and contextual information.
By sharing the complex methodologies for gleaning scientific data from human
remains and the context in which they are found, with complementary perspec-
tives for examining violence from both past and contemporary societies, bioarch-
aeology and forensic anthropology prove to be fundamentally inseparable.
This book provides a model for training forensic anthropologists and
bioarchaeologists, not just in the fundamentals of excavation and skeletal
analysis, but in all subfields of anthropology, to broaden their theoretical and
practical approach to dealing with everyday violence.
Series editors
human ecology
C. G. Nicholas Mascie-Taylor, University of Cambridge
Michael A. Little, State University of New York, Binghamton
genetics
Kenneth M. Weiss, Pennsylvania State University
human evolution
Robert A. Foley, University of Cambridge
Nina G. Jablonski, California Academy of Science
primatology
Karen B. Strier, University of Wisconsin, Madison
Edited by
DEBRA L. MARTIN
University of Nevada, Las Vegas
CHERYL P. ANDERSON
University of Nevada, Las Vegas
University Printing House, Cambridge CB2 8BS, United Kingdom
Published in the United States of America by Cambridge University Press, New York
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© Cambridge University Press 2014
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First published 2014
Printed in the United Kingdom by Clays, St Ives plc
A catalogue record for this publication is available from the British Library
Library of Congress Cataloguing in Publication data
American Association of Physical Anthropologists. Annual meeting (81st : 2012 : Portland, Or.)
Bioarchaeological and forensic perspectives on violence how violent death is interpreted from
skeletal remains / edited by Debra L. Martin, University of Nevada, Las Vegas, Cheryl P. Anderson,
University of Nevada, Las Vegas.
pages cm. – (Cambridge studies in biological and evolutionary anthropology ; 67)
Includes bibliographical references and index.
ISBN 978-1-107-04544-6 (Hardback)
1. Human remains (Archaeology)–Congresses. 2. Violence–History–Congresses. 3. Wounds
and injuries–History–Congresses. 4. Social archaeology–Congresses. 5. Forensic anthropology–
Congresses. I. Martin, Debra L. II. Anderson, Cheryl P. III. Title.
CC79.5.H85A64 2014
930.1–dc23 2013034214
ISBN 978-1-107-04544-6 Hardback
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Cambridge University Press has no responsibility for the persistence or accuracy of
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and does not guarantee that any content on such websites is, or will remain,
accurate or appropriate.
Contents
Part I Introduction 1
1 Introduction: interpreting violence in the ancient and modern
world when skeletonized bodies are all you have 3
debra l. martin and cheryl p. anderson
vii
viii Contents
Index 321
Contributors
x
Contributors xi
1.1 Introduction
Bioarchaeological and Forensic Perspectives on Violence: How Violent Death is Interpreted from
Skeletal Remains, ed. D. L. Martin and C. P. Anderson. Published by Cambridge University Press.
© Cambridge University Press 2014.
3
4 Introduction
perpetrators of violence and those who suffered as a result of their actions. The
chapters in this volume all reveal how violence is reconstructed from skeletal
and contextual information. However, they provide a range of approaches to
foster multiple perspectives with regard to documenting and interpreting
the meaning of violence. Individual chapters demonstrate how this can be
operationalized on many different levels. In particular, the focus of these case
studies is to identify the different participants in violent encounters (victims,
witnesses, aggressors) in order to provide more detailed and nuanced interpret-
ations of human behavior.
An example of this approach is teasing out the victims from the attackers in
cases of indigenous or colonial warfare or sectarian conflicts. Careful analysis
of the human remains, detailed observations on the burial context, and ethno-
graphic or witness reports all can aid in providing a more accurate and nuanced
reconstruction of past events. Chapters in this volume highlight case studies of
antemortem and perimortem trauma in contemporary, historic, and ancient
contexts. These integrated bioarchaeological–forensic approaches are useful
in constructing the contexts in which violence takes place. Ultimately, both
subdisciplines aim to reconstruct and explain complex human behavior and so
can benefit from directly sharing case studies, methods of analysis, and
theoretical approaches to interpretation.
There is currently no umbrella term that would subsume both the work of
forensic anthropologists, forensic archaeologists, and bioarchaeologists,
although "forensic bioarchaeology" might be something to consider in the
future. Increasingly, the work of the forensic anthropologist is highly varied,
from work in academic settings and local homicide cases, to working at mass
disasters and places where large numbers of people have perished from
sectarian warfare and genocide (Crossland 2009). Bioarchaeologists are
increasingly volunteering to aid in a wide variety of contexts that involve
skeletonized remains, from historic cemeteries to mass disasters (Blau and
Skinner 2005). This blurring of the roles of bioarchaeology and forensic
anthropology is breaking down the largely artificial divisions between those
who study the ancient dead and those who assist with the more recently dead.
Another reason why this is the moment to blend theory, method, and data
from bioarchaeology with forensic anthropology is that bioarchaeology itself is
emerging in a relatively new configuration (see Martin et al. 2013). Modern
bioarchaeology is integrated into broader anthropological agendas of engage-
ment and ethical action. Many bioarchaeologists incorporate theories about
human behavior into their work and this has broadened and deepened the
interpretations derived from human remains (Martin et al. 2013). Forensic
anthropologists have provided a profound sense of what is at stake for the
living when the dead cannot be located or identified (Sanford 2004). In
addition, many forensic anthropologists also examine the direct impact of
violent acts on the communities from which the victims were taken, and on
eye-witnesses to the violence.
One of the issues facing the relatively young discipline of forensic anthropol-
ogy is the need to create a balance between specialized knowledge embedded in
the forensic sciences and training in the other subfields of anthropology.
Through interdisciplinary inquiry and engagement across the subfields, anthro-
pology provides a way to view the diversity of opinions about violence, warfare,
and human rights issues that often result in death, trauma, and social upheaval.
6 Introduction
designed with the goal of unraveling culturally constructed webs of trust. Thus,
the bodies have both real and symbolic properties.
To continue building bridges and meshing methods and theory, the chapters in
this book provide case studies that highlight the larger intellectual context
within which this kind of scholarship falls. There are three broad sections, each
with an emphasis on a particular approach and a particular contribution to new
uses of methods and theories. While there is overlap among the sections, each
provides a particularly nuanced set of case studies that show that there is no
one way to interpret the meaning of violence – rather, there are many different
pathways to getting at a more complete picture based on initial examination of
human remains. The first section provides a variety of new approaches and
methodologies for analysis of human remains. The next section provides a
wide range of cases that fall into the broad category of ritual and performative
violence. The last section takes up issues of identity and its dynamic interplay
with a range of cultural factors. We end the volume with a thought-provoking
chapter on what it means to do the kind of work that scholars in this book do in
dealing with death and violence.
available evidence, the author concludes that, while most individuals likely
were not victims of violence, at least one, and possibly a total of three, shows
evidence of trauma that is more consistent with violence then burial ritual or
ancestor veneration. This chapter demonstrates how consideration of these
sources of information may be useful for identifying victims of violence in
complex mortuary assemblages.
Ryan P. Harrod and Debra L. Martin (Chapter 7) examined the human remains
from populations living in the ancient Southwest and found that some exhibit
the “signature” of captivity and slavery on their bodies. Multiple healed head
wounds, healed fractured bones, nutritional anemias, and infections all point to
a life of violent beatings and inadequate living conditions. The violent acts
involved with taking captives are usually very ritualized and performative,
with males being murdered, and females and children being taken captive. The
trauma on their bodies suggests multiple beatings across the course of the
lifetime. From these case studies of captives who died young and with many
traumatic and pathological injuries, a more detailed understanding of how
captives were treated, as well as their symbolic and ritualized use as a show
of power and domination, is gained.
Rebecca Storey (Chapter 8) explores the relationships between victims and
aggressors in Maya warfare and sacrifice. This research discusses evidence for
the importance of warfare among elite males in Maya society and the signifi-
cance of trophies of war, specifically skull masks that were decorated and then
worn by the aggressors. The author provides bioarchaeological evidence for
the existence of these trophies and confirms that they likely represent elite
victims of ritual violence. These trophies would have bestowed greater prestige
to the perpetrators during life and the significance of these violent acts
continued to link them to their victims after death. This contribution provides
unique insight into considering the complex relationships between victims and
perpetrators of ritual violence and how they may extend beyond the actual
violent event.
Christina Torres-Rouff and Laura M. King (Chapter 9) consider patterns of
cranial trauma, in particular nasal fractures, as evidence for face-to-face con-
flict at oases in the San Pedro de Atacama during the Middle Period. They
demonstrate a higher incidence of nasal fractures among males, although some
females were also affected, and argue that this form of violence may have had
social significance. The antemortem nature of these wounds provides evidence
that, while this face-to-face violence was an important part of society, it was
10 Introduction
often non-lethal. This case may not have victims and perpetrators in the usual
sense; rather the authors suggest that these fractures may result from some sort
of culturally approved violence for resolving problems between adult individ-
uals. This contributes to furthering our understanding of how violence may
potentially be used for addressing social problems within a culture and how
this type of violence may exhibit different patterns.
William N. Duncan and Christopher M. Stojanowski (Chapter 10) provide
an analysis of a sixteenth-century calvaria from Georgia thought to belong to a
martyred Spanish priest, Pedro de Corpa. Through the process of trying to
determine whether or not this calvaria does in fact belong to Pedro de Corpa,
the authors explore why some bodies are of greater interest to forensic
anthropologists and bioarchaeologists than other bodies. They demonstrate
that in this case there are two important factors leading to the high degree of
interest. The first is that defacement of the body of the deceased has increased
the degree to which it is held sacred. The second reason is that anthropological
investigation of this calvaria has amplified the mystery surrounding it as well
as the meaning associated with it. This chapter carefully considers how
different groups within a community may be impacted differently by bioarch-
aeological and forensic research and represents an example of positive inter-
action between the anthropologists and the larger public.
a role, especially among those with evidence for scalping, but cautions that
identification of specific perpetrators is problematic based on the available
evidence. The careful analysis presented in this chapter demonstrates the utility
of considering the patterning of skeletal trauma when interpreting relationships
between victims and perpetrators.
Elizabeth M. DeVisser, Krista E. Latham, and Marisol Intriago Leiva
(Chapter 13) consider the impact of violence perpetrated by the Pinochet
regime on Chilean national identity through the examination of the victims
from the Patio 29 mass grave. The authors discuss the efforts put forward by
the forensic anthropologists working on these human rights cases to use all
available lines of evidence to identify victims correctly and provide closure
for their families. They highlight the challenges associated with victim identi-
fication in the Patio 29 cases, but also the profound importance of these
identifications for the families and the community impacted by the violence.
This example demonstrates how forensic anthropologists, through identifica-
tion of the remains of victims, can assist with the restoration of national
identity.
Danielle Kurin (Chapter 14) discusses violence before and after the collapse
of the Wari Empire in Peru through the examination of cranial trauma and how
it affected different social groups, seen through different types of cranial
modification. The results presented by the author show a relationship between
social identity and trauma among the Chanka for both adults and subadults,
suggesting that some groups may have been more at risk for violence and
recidivism. This demonstrates that practices of violence changed following the
Wari collapse, including the identification of a specific subgroup(s) among the
Chanka to be targeted as the victims of violence. This chapter significantly
contributes to growing literature that seeks to understand the social patterning
of violence in different cultural contexts.
Melissa Scott Murphy, Brian Spatola, and Rick Weathermon (Chapter 15)
examine colonial period violence and consider the ways trauma patterning
might be used for inferring the potential identities of perpetrators. In this study,
they compare injuries present on colonial period indigenous Andean human
remains from Peru to different types of trauma in order to understand the types
of weapons that may have been used on the victims. The authors point out that
even the identification of weapon type may not lead to a clear picture of the
identities of the perpetrators. In this case, while the victims from this site could
have been killed by Spanish individuals they may also have been the victims of
other native peoples, some of whom were aligned with the Spanish. Through
their careful analysis, the authors demonstrate the utility of careful trauma
comparison but show the necessity for researchers of violence to be cautious
in their interpretations and consider the potential alternatives. They also
12 Introduction
demonstrate that individuals may have shifting roles as victims and aggressors,
which must be considered in contexts of violence.
John J. Crandall, Ryan P. Harrod, Cheryl P. Anderson, and Kathryn M.
Baustian (Chapter 16) present a historic double murder and suggest ways in
which the events on the Kiel ranch may be interpreted. Originally thought
to represent a murder–suicide, the authors confirm a previous anthropo-
logical analysis that these are the victims of a double murder. The results
presented suggest an interpretation of the attack as possibly consistent with
an ambush attack, with one victim being struck by both long-distance and
close-range gunshot wounds and the other with a likely close-range shot.
The violence at this ranch is then considered in the broader context of
historic period violence on the American frontier. Through a comparative
approach, the authors contribute to understanding aspects of ambush and
massacre situations, their social significance, and their potential skeletal
correlates.
1.5 Conclusions
Strong themes of ritual, performance, and identity run throughout these chapters
and these tie violence to interpretive frameworks because of the multiple lines of
evidence used. Various interpretations about the victims as well as the perpetra-
tors were brought into focus with the use of innovative methodologies combined
with theories about the ways that violence is shaped by cultural ideology,
symbolism, and politics. From forensic cases to population–level studies of
past peoples, violence is never a simple phenomenon to interpret. While the
skeletons can reveal that some form of violence occurred, multiple lines of
evidence are necessary to reconstruct the rich and detailed context within which
the violent acts took place. Anthropology as a holistic approach to human
behavior provides the “glue” that binds both forensic as well as archaeological
approaches to understanding violence and explaining the role of culture and
ideology in the use of violence. Alison Galloway (Chapter 17) provides the
concluding thoughts for this volume on violence. In her chapter, she provides
thoughtful commentary on what it means to work with the remains of the dead,
and how this type of work is experienced by anthropologists.
References
Blau, S. & Skinner, M. (2005). The use of forensic archaeology in the investigation of
human rights abuse: unearthing the past in East Timor. The International Journal
of Human Rights, 9, 449–63.
Debra L. Martin and Cheryl P. Anderson 13
2.1 Introduction
Bioarchaeological and Forensic Perspectives on Violence: How Violent Death is Interpreted from
Skeletal Remains, ed. D. L. Martin and C. P. Anderson. Published by Cambridge University Press.
© Cambridge University Press 2014.
17
18 Killed in action?
Since the late 1970s, human skeletal remains and archaeological artifacts,
including arrowheads made from flint stone and bronze as well as simple
wooden clubs, have been recovered from several locations along a stretch of
about 2 km in the valley of the Tollense, a small river in the federal state of
Mecklenburg-Vorpommern in Northeastern Germany (Jantzen et al. 2011).
The finds originate from excavations close to the River Tollense, underwater
surveys, and from stray finds along the riverbanks. Since 2009, systematic
investigations in the river valley have been conducted by an interdisciplinary
research team. Radiocarbon dates from different skeletal elements and one of
the wooden clubs revealed ages of c. 1200 cal BCE for the majority of these
finds, corresponding to Period III of the Nordic Bronze Age (Jantzen et al.
2011). The consistent radiocarbon dates and the striking similarities in the find
situations led to the assumption that the different locations along the river that
yielded archaeological remains constitute a single “site-complex.” However,
thus far the extent of this presumed site-complex is unknown.
At present, c. 4700 human bones and c. 1800 animal bones have been
recovered at 14 sites along the river. The majority of bones show an excellent
Stefan Flohr, Ute Brinker, Elena Spanagel, Annemarie Schramm 19
state of preservation. Most of the human remains have been found commin-
gled, with joining elements and larger articulated units being rare. As the
excavations are still ongoing, the minimum number of individuals (MNI) is
preliminary. Thus far, the femur is the most frequently found skeletal element
and, based on its occurrence, an MNI of 108 has been established.
Currently, excavation activities concentrate on the sites Weltzin 20 and
Weltzin 32, which have yielded the highest number of skeletal elements
among the 14 sites. At Weltzin 20, a total of 3236 human bones from all
regions of the skeleton and 1165 animal bones have thus far (summer 2012)
been recovered from an area of slightly more than 161 m2. At this site the
femur is the most frequently represented skeletal element (n ¼ 90), giving an
MNI of 60. Calculations based on this MNI show that, on average, only 28%
of the skeletal elements of the represented individuals have been recovered.
Several bones show evidence of trauma. Three out of 34 skulls from Weltzin
20 exhibit signs of perimortem trauma, with two of them featuring depression
fractures on the frontal bone caused by blunt force. The lesions are round to
oval in shape and may have been caused by weapons like the wooden clubs
that were found at the site. Another skull shows a lesion in the lower part of the
right parietal bone that likely represents an arrow wound. The border of the
lesion shows minor signs of healing, indicating that the trauma was survived
for some days or weeks. In one humerus, a flint arrow head is embedded in the
proximal portion of the bone between the head and the greater tubercle. Two of
the 90 femora show perimortem comminuted peritrochanteric fractures. Add-
itionally, some healed lesions were found in the assemblage. Signs of healed
trauma have also been found on skeletal remains from other sites of the site-
complex. Taking into account the commingled nature of the assemblage and
the incompleteness of the skeletons, the frequency of trauma is rather high.
One of the most challenging questions regarding the site is how to interpret
the unusual findings. Taphonomic considerations led to the assumption that the
bodies were probably complete when they entered (were thrown into) the river
and afterwards they became disarticulated. The skeletal elements were then
transported in the river depending on their specific water transportation prop-
erties, thus becoming scattered over a stretch of the river (Brinker et al. 2013).
Frequently occurring high water events in the formerly much shallower river
bed led to local accumulations of bones on river banks, at “natural traps” such
as roots or larger plants, or on adjacent drawdown zones. The fact that the
skeletal remains lack gnawing damage by rodents or other animals indicates
that, after deposition, the bones were always covered by sediment or water.
The lack of bite marks from scavengers on the bones also indicates that the
bodies had not lain on the presumed battlefield for a long period of time before
being thrown into the water.
20 Killed in action?
In the present study, only femora from the site Weltzin 20 were investigated.
As of summer of 2012, a total of 90 femora have been recovered. However,
metric data have only been obtained for 74 of these. Among these 74 femora,
22 pairs could be matched on the basis of gross morphological comparisons,
reducing the number of individuals represented to 52. Femora from juveniles
(n ¼ 16), as shown by the presence of unfused epiphyses, were excluded from
the study. Therefore, the femora of 36 adult individuals formed the basis for
the present study. When both femora were available, only the left one was
considered for the study.
For these femora, bicondylar length (BL), head diameter (FHD), sagittal
(SMD) and transverse midshaft diameter (TMD), and midshaft circumference
(MC) were measured with calipers and an osteometric board. Since in certain
bones some of these external measurements could not be taken, the number of
observations can vary between the different variables.
Femora of 37 individuals from Weltzin 20 were scanned by computed
tomography (CT) to analyze mid-diaphyseal (50% biomechanical length)
cross-sectional properties. The bones were analyzed basically following the
sequence of excavation and were not selected according to specific morpho-
logical or other criteria. The 37 femora scanned so far include some bones
from juveniles, incomplete bones, and cases in which the femora of single
individuals could be matched. Again, bones from juveniles were excluded
from the study and in the case of bone pairs, only the left femur was included
in the analyses, thereby reducing the sample to 27 specimens. All of these 27
femora were also part of the sample (n ¼ 36) for which external measurements
were obtained. Analyses were performed using ImageJ 1.45s with the plugin
MomentMacroJ v1.3 (www.hopkinsmedicine.org/fae/mmacro.htm). The
following areas (in mm2) of the cross-sections were determined: (1) total area
(TA); the TA includes the complete area within the subperiosteal bone surface
and represents the gross dimension (size) of the bone; (2) cortical area (CA);
CA was calculated as TA minus the medullary area (MA) and is a measure that
can serve as a proxy for the rigidity of the bone to axial forces, both compres-
sion and tension (Ruff, 2008). For the present study, MA and relative cortical
area (%CA; i.e. the relative area of the TA formed by CA) are considered
to represent an approximation of the age at death, assuming that, after
reaching peak bone mass at a young adult to middle adult age, MA
increases and, thus, %CA decreases slightly, leading to osteopenia and
osteoporosis in old adult age. Areas were adjusted by body mass (BM; kg).
The latter was calculated based on the FHD (mm). Although the FHD does
not yield optimal results for BM calculation, it is still widely used in
22 Killed in action?
2.4 Results
Mean values for BL, FHD, and MC of the Weltzin 20 assemblage are closer to
those of the males from Franzhausen I than to those of the females from that
site, while the mean values for the midshaft diameters (SMD and TMD) are
intermediate between the corresponding values of the Franzhausen males and
females (Table 2.1). For example, BL of the Weltzin 20 femora (mean SE ¼
448.7 3.1 mm; median ¼ 449.0 mm) is only slightly lower than that of the
femora from the Franzhausen I males (453.1 4.7 mm; 451.5 mm) and clearly
larger than that of the Franzhausen I females (415.5 4.3 mm; 416.5 mm).
The difference in BL between the Weltzin 20 femora and the female femora
from Franzhausen I is significant (U test; P <0.001), while there is no
significant difference between the Weltzin 20 femora and the male femora
from Franzhausen I (U test; P ¼ 1.00). Regarding FHD, the values for Weltzin
20 (46.6 0.4 mm; 46.3 mm) are slightly, but significantly (U test; P ¼ 0.045)
lower than those for the Franzhausen I males (48.5 0.4 mm; 48.0 mm), and
significantly higher (U test; P <0.001) than those for the Franzhausen I females
(42.5 0.3 mm; 42.0 mm).
An indicator for the uniformity of the sex composition of an assemblage could
be the amount of intrasample variation. It is assumed that in a purely male or
24 Killed in action?
Table 2.1. Values of the external measurements (mm) of the Weltzin 20 femora
compared with the values from Franzhausen I (Berner 1988).
Figure 2.1. Comparison of transversal midshaft diameters (TMD) of the femora from
Weltzin 20 and of male and female femora from Franzhausen I (data from Berner
1988). In the Weltzin 20 assemblage, values for six femora are below the overlapping
zone between males and females from Franzhausen I. These femora probably represent
females.
Weltzin 20 is below the lowest value for the females from Franzhausen I.
Therefore the possibility remains that some of these nine femora stem from
males.
When FHD and MC are combined in a bivariate scatterplot, males and
females from Franzhausen I are clearly separated with only a small overlap-
ping zone (Figure 2.2). The values of the Weltzin 20 femora overlap mostly
with those of the Franzhausen I males and only to a lesser extent with those of
the Franzhausen I females.
Figure 2.2. Bivariate scatterplot of femoral head diameter (FHD) versus midshaft
circumference (MC) for the Weltzin 20 femora (filled circles) and males (squares) and
females (triangles) from Franzhausen I. Most of the values for the Weltzin 20 femora
cluster with those for the Franzhausen I males.
Except for MA, which shows the lowest average of all samples compared,
all average values for the Weltzin 20 femora exceed those of the mixed male–
female reference assemblages (Table 2.2). For CA, the 95% CI for the Weltzin
20 femora does not overlap with those of the femora from the other assem-
blages. Average TA for the Weltzin 20 femora (834.3 mm2) is close to that for
the Bell Beaker sample (828.9 mm2). Mean values for the second moments of
area (Ix, Iy, and J) are highest in the Weltzin 20 femora; however, the 95% CIs
overlap with those from some other assemblages. These results could indicate
either that the proportion of males is much higher in the Weltzin 20 assem-
blage compared with the other assemblages, or that the Weltzin 20 individuals
were more robust and of a taller stature than those of the other assemblages.
The interpretation that the individuals from Weltzin 20 represent taller and
more robust individuals appears less feasible when the Weltzin 20 means are
compared with those for males only from the other assemblages. For several
parameters (adjusted TA, Ix, Iy, J), the means for Weltzin 20 femora lie close to
TA or within the range of those for the other assemblages (Table 2.3).
Average CA for the Weltzin 20 femora is, however, markedly higher than
those of the others, although there is overlap in 95% CI with some of them.
Table 2.2. Body mass, femoral cross-sectional areas, and second moments of area for the Weltzin 20 assemblage compared with
data for male–female mixed samples from different Eneolithic and Bronze Age contexts (Sládek et al. 2006). Data are given as
means (n) and standard errors (SE).
Parameter Weltzin 20 Bell Beaker (T) Corded Ware Únĕtice Unterwölbling Wieselburger
Body mass [kg] 66.3 (27) 0.84 64.7 (23) 1.51 64.2 (31) 1.47 63.6 (23) 1.68 62.1 (37) 1.25 61.3 (31) 1.31
TA adj. [mm2] 834.3 (27) 16.49 828.9 (19) 15.26 814.1 (25) 13.25 793.8 (22) 16.54 803.4 (26) 12.58 746.1 (30) 12.52
CA adj. [mm2] 670.5 (27) 12.94* 597.2 (19) 13.04 610.8 (25) 10.45 593.4 (22) 10.20 588.4 (26) 9.60 570.7 (30) 11.12
MA adj. [mm2] 163.9 (27) 9.04 231.7 (19) 13.57 203.3 (25) 10.55 200.4 (22) 13.22 215.0 (26) 9.44 175.3 (30) 5.99
Ix (¼ Ia-p) adj. 816.0 (27) 39.41 797.4 (19) 35.60 779.2 (25) 29.70 735.2 (22) 36.71 739.0 (26) 22.97 677.1 (30) 33.52
[mm4]
Iy (¼ Im-l) adj. 809.3 (27) 41.00 791.3 (19) 25.98 771.7 (25) 27.79 762.9 (22) 34.86 726.3 (26) 26.27 647.2 (30) 28.34
[mm4]
J adj. [mm4] 1625.2 (27) 76.16 1588.8 (19) 55.47 1550.9 (25) 48.20 1498.2 (22) 60.21 1465.2 (26) 44.67 1324.3 (30) 58.43
Asterisk (*) indicates that the 95% CI for the Weltzin 20 femora does not overlap with that of any other assemblage.
Table 2.3. Body mass, femoral cross-sectional areas, and second moments of area for the Weltzin 20 assemblage compared with
data for male-only samples from different Eneolithic and Bronze Age contexts (Sládek et al. 2006). Data are given as means (n)
and standard errors (SE).
Parameter Weltzin 20 Bell Beaker (T) Corded Ware Únĕtice Unterwölbling Wieselburger
Body mass [kg] 66.3 (27) 0.84 68.6 (13) 1.34 69.4 (15) 1.36 70.0 (9) 1.99 71.8 (11) 1.17 69.4 (12) 0.92
TA adj. [mm2] 834.3 (27) 16.49 840.5 (11) 21.59 839.7 (12) 18.16 802.2 (9) 24.73 802.7 (9) 22.76 798.7 (12) 18.10
CA adj. [mm2] 670.5 (27) 12.94 596.9 (11) 20.18 629.4 (12) 12.42 594.9 (9) 15.47 594.7 (9) 15.19 621.8 (12) 14.91
MA adj. [mm2] 163.9 (27) 9.04 243.6 (11) 18.24 210.3 (12) 12.80 207.4 (9) 23.38 208.0 (9) 19.15 176.9 (12) 8.83
Ix (¼ Ia-p) adj. 816.0 (27) 39.41 858.8 (11) 51.66 899.1 (12) 26.65 767.9 (9) 53.84 816.9 (9) 23.59 861.3 (12) 36.95
[mm4]
Iy (¼ Im-l) adj. 809.3 (27) 41.00 823.6 (11) 39.92 811.7 (12) 41.93 824.2 (9) 60.13 796.6 (9) 41.60 783.2 (12) 42.79
[mm4]
J adj. [mm4] 1625.2 (27) 76.16 1682.4 (11) 83.20 1710.8 (12) 48.60 1592.1 (9) 84.30 1613.5 (9) 53.81 1644.5 (12) 68.50
Stefan Flohr, Ute Brinker, Elena Spanagel, Annemarie Schramm 29
Mean BM and mean MA, in contrast, are lowest for the Weltzin 20 individ-
uals, although again there is overlap in 95% CIs with some of the other
assemblages (for MA only with the Wieselburger culture).
Relative CA (%CA; calculated on the basis of the group means for TA and
CA) is much higher (mean of 80.37) in the Weltzin 20 assemblage than in both
the male (means from 71.02 to 77.85) and the mixed (means from 72.05 to
76.49) samples. This suggests a higher proportion of young individuals in the
Weltzin 20 assemblage compared with the other assemblages.
2.5 Discussion
In humans, the femur is one of the most extensively studied bones in regard to
its potential for sex determination (e.g. Asala 2001, 2002; Black III 1978;
Dittrick and Suchey 1986; Mall et al. 2000; Milner and Boldsen 2012). The
high number of studies performed reflects a common issue in sex determin-
ation based on skeletal remains – that is, the question of which reference data
should be used for comparison with a particular sample. Many studies have
been performed on modern femora to obtain valid data in forensic contexts for
comparison with individuals from different geographic and ethnic origins. It is,
however, problematic to use these reference data for comparisons with prehis-
toric femora, especially in the case of commingled assemblages (Hoppa 2002).
At first glance, information on sexual dimorphism in historic or prehistoric
femora may seem more suitable for comparison with data from other historic
or prehistoric cases. Such studies were, for example, performed by Black III
(1978), who provided a method to sex archaeological skeletal remains by
measuring femoral shaft circumference. The data were generated on individ-
uals from the prehistoric Libben site (Ohio, USA). Dittrick and Suchey (1986)
studied sexually dimorphic traits in prehistoric femora from California. How-
ever, the latter authors caution against sexing individuals of different origin
using the same discriminant functions. Considering this caveat, we chose to
compare the values of the Weltzin 20 femora with those obtained for assem-
blages that were relatively close in time (Bronze Age, Eneolithic) and origin
(Central Europe), assuming that, the closer the assemblages are with respect to
these parameters, the more similar they probably are with respect to the
analyzed morphological traits (Weiss 1972).
The results obtained for the Weltzin 20 femora are consistent with earlier
interpretations based on gross morphological analyses of skeletal remains in
suggesting that the assemblage consists predominantly of the remains of
male individuals. The high TA, CA, and %CA values are in line with the
view that the femora largely represent young and middle adult males, who are
30 Killed in action?
assumed to have been killed in battle. However, both the results of the gross
morphological sex assessment on skulls and pelvic bones (Brinker et al. 2013)
and the results of the present metrical analyses on the femora suggest that some
female individuals are also represented in the assemblage.
Although fighting and warfare are typically regarded as male behavior, there
is evidence from many time periods and cultures that females were also present
at or close to battlefields and sometimes even took part in the actual fighting. For
instance, it is accepted that women participated in various functions of warfare
in ancient Greek and Roman societies (Wintjes 2012). Authors like Plutarch
(Life of Gaius Marius), Caesar (Gallic War), and Tacitus (Germania) described
that, in Germanic tribes, females accompanied males to battle and their presence
was an important motivation for the warriors to protect their families and tribes.
Especially when it came to defending the camp and wagons, women became
actively engaged in fighting, as is reported by Plutarch for the battle of the
Romans against the Ambrones (Plutarch 1988). The phenomenon of “female
warriors” is also documented from the European Middle Ages (McLaughlin
1990), and in Napoleon’s Grande Armée females acted in a number of important
logistic roles, including assisting surgeons and helping the wounded back from
the firing line (Elting 1997). Warfare was never just fighting, but was always
associated with logistical challenges, and women were commonly involved in
solving these challenges. The presence of a number of female bones at the
Bronze Age Weltzin 20 site in the Tollense river valley does, therefore, not
come as a surprise and does not contradict the battlefield hypothesis.
The age-at-death composition of the assemblage from Weltzin 20 basically
supports the battlefield hypothesis. Thus, bones of children and very old
persons, who are unlikely to be active participants in a battle, are (largely)
missing. Instead, the assemblage consists of the remains of juveniles and
young adult and middle adult individuals, i.e. those age groups that can be
expected to represent the majority of active participants in a battle. As in
the case of female remains, it would, however, not be surprising also to find the
remains of a few children and old adults if the warriors were accompanied by
their families. Thus far, only a single infant bone has been recovered at the
Weltzin 20 site; however, its affiliation to the Bronze Age context is unclear and
radiocarbon dating failed because of poor collagen preservation. In contrast,
the 178 bones from juvenile individuals (MNI ¼ 9) recovered so far are clearly
associated to the Bronze Age context. Juvenile femora were not considered in
the present study owing to non-fusion of the epiphyses. Based on studies of
adult femora, MA might be seen as an indicator for age at death. It is assumed
that, after peaking at middle adult age, bone mass decreases, leading to higher
MA and lower %CA values. Average MA in the Weltzin 20 femora is the
lowest and %CA the highest of all assemblages, indicating an on-average
Stefan Flohr, Ute Brinker, Elena Spanagel, Annemarie Schramm 31
younger age at death for the Weltzin 20 individuals. Clearly, these measure-
ments provide only very rough estimates for the age at death; however, the
results are in line with the findings based on other, established methods of age-
at-death estimation.
2.6 Conclusions
The present study showed that the adult femora of the Weltzin 20 assemblage
originate mostly from young adult to middle-aged males. This is in line with
the hypothesis, put forward based on the analyses of skulls and pelves, that the
skeletal remains from the site represent battle victims (Brinker et al. 2013).
However, results of external bone measurements suggest that some adult
females are represented in the assemblage and were thus present at or close
to the presumed battlefield.
The study demonstrated that demographic data relevant for the interpret-
ation of archaeological sites can be obtained by analyzing femora in addition to
the more commonly studied skulls and pelves. Femora are often among the
most frequent and best-preserved human skeletal elements at archaeological
sites (Bennike 1985). They constitute a valuable source of information for
osteoarchaeological studies, especially if suitable reference data are available.
Acknowledgments
Margit Berner is gratefully acknowledged for providing raw data from her
doctoral thesis on the bones from Franzhausen I. We thank Jürgen Piek for CT
scanning of the bones at the University of Rostock. The investigation in the
Tollense river valley was supported by the Ministry of Education, Science and
Culture of Mecklenburg-Western Pomerania and since 2010 by the Deutsche
Forschungsgemeinschaft (German Research Foundation).
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3 The taphonomy of maritime warfare:
a forensic reinterpretation of sharp
force trauma from the 1676 wreck of
the Royal Swedish Warship Kronan
a n n a k j e l l s t r ö m a nd
miche l l e d . ha mi l t on
3.1 Introduction
Bioarchaeological and Forensic Perspectives on Violence: How Violent Death is Interpreted from
Skeletal Remains, ed. D. L. Martin and C. P. Anderson. Published by Cambridge University Press.
© Cambridge University Press 2014.
34
Anna Kjellström and Michelle D. Hamilton 35
While some articulated bone elements were recovered together (i.e. humerus,
radius, ulna), most of the skeletal elements were commingled. An initial
analysis was conducted in 1997 by the late Professor Ebba M. During of the
Osteoarchaeological Research Laboratory at Stockholm University. After
completing the preliminary osteological analysis, During estimated the
minimum number of individuals recovered during the excavations to be
around 260. This number is likely an underestimation, since During did not
have access to an additional 150 kilograms (330 pounds) of bones recovered
after she passed away.
Many of the bones show striking (and completely unexpected) evidence of
sharp force traumatic defects. This research evaluates that trauma in the
context of what is known about the sinking of the ship, analysis of the sharp
force injury patterns and appearance, consideration of the burial environment,
and examination of possible taphonomic processes, in order to provide a new
interpretation for the ambiguous sharp force skeletal trauma present on the
bones from the men of the Kronan.
In Scandinavia, the Swedish empire saw threats to her land holdings as a result
of a number of martial conflicts in the region harkening back to the Northern
Seven Years' War (1563–1570). The Scanian War of 1675–1679 was fought
between Sweden and the allied forces of Brandenberg and a Danish–Dutch and
Austrian alliance, and resulted from the 1675 Danish invasion of Scania, a
Danish border region originally ceded to Sweden in 1658 (Lindkvist and
Sjöberg 2010).
Construction of the Swedish man-of-war Kronan (“Crown”) was begun in
1665 by English shipwright Francis Sheldon under the direction of the
Swedish monarch King Charles XI (Delgado 1997; Einarsson 1990). At the
time of her construction, the Kronan was among the largest naval war vessels
in the world, with a crew consisting of 850 men and heavy armament that
included over 120 cannons, each varying in weight up to 4.5 metric tons
(5 tons) (Einarsson 2001; 2006). As the new flagship of the Royal Swedish
Naval fleet, the outbreak of regional hostilities necessitated her entry into the
Scanian War, where she made her last stand at the Battle of Öland.
On June 1, 1676 the Kronan met the pursuing Danish–Dutch enemy fleet
near the island of Öland in the Baltic Sea. Historic eye-witness statements
report that, as the Kronan attempted to confront the enemy fleet, the ship
turned too quickly and began to keel over. As she foundered in the water,
munitions and powder magazines aboard the ship then exploded, destroying
36 The taphonomy of maritime warfare
Figure 3.1. “The Battle of Öland,” 1686 oil painting by Danish artist Claus Møinichen.
The Kronan is in the foreground, foundering in the water as her on-board munitions
explode.
the entire bow structure and causing the Kronan to disappear very quickly
below the waves (Figure 3.1). In addition to the large numbers of sailors,
soldiers, and crew on board, the Admiral of the Realm Commander Lorentz
Creutz and numerous upper echelon naval officers also perished, decimating
a large portion of the command structure of the entire Swedish naval force
at the time. As noted previously, of the 850 crew members on board, only
42 survived. After the Kronan sank a number of bodies washed ashore, but the
remains of approximately 600 men remained entombed 26 meters (85.3 feet)
deep at the bottom of the sea for the next three centuries (Einarsson 1990).
Despite the depth of the wreck, soon after the sinking the Swedish monarchy
approved an expedition to recover the valuable cannons from the Kronan, an
operation that lasted from 1682 to 1686 (Einarsson 1990). Twenty years
previously, a number of cannons from another sunken Swedish warship named
the Vasa were successfully recovered with the use of a simple diving bell that
stood almost 1.5 meters (5 feet) tall (Bevan 1999), and similar techniques were
employed with the Kronan to salvage her armament.
At the time of the wreck of the Kronan, diving bells had been deployed for
the better part of a century for the purposes of recovering equipment and
treasure from sunken vessels. Diving bells are deep-sea diving chambers that
Anna Kjellström and Michelle D. Hamilton 37
provide divers a limited air supply, allowing them to work at depth on the
ocean floor. They were typically built of wood in the shape of an inverted cup
with an opening at the base. Divers would first position themselves inside the
bell, and the weighted bell would then be lowered from a ship into the ocean,
open base first. The internal pressure of the air inside the bell kept the ocean
water from rushing inside, allowing the divers an air supply source while they
engaged in salvage and recovery work. Prior to 1690, diving bells were
primitive and not equipped with renewable air sources, which meant that
divers were working in dark and dangerous conditions and with limited time
constraints (i.e. 30 minutes at a time) and the bell had to be regularly raised to
renew and replenish the air supply (Bevan 1999).
The use of diving bells and recovery equipment such as hooks to attach to
the cannons so that they could be hauled out of the water made it possible to
save almost half of the cannons aboard the Kronan during the 4-year salvage
operation, with the largest recovered cannon weighing almost 4 metric tons
(4.5 tons).
Despite resting on the floor of the Baltic Sea for over 300 years, the condition
of the osteological material is surprisingly very good, but three centuries
of diagenetic processes are nevertheless apparent. Most notable are the
consequences of direct contact with the ship’s metal structures, staining many
bones a dark brown to orange color, and in one case leaving corroded metal
precipitate merged to the bone surface (Figure 3.2). A number of distal and
proximal portions of long bones also show postmortem scuffing and abrasion
damage (Figure 3.3).
In the region of the Baltic Sea where the Kronan was discovered, the
condition and preservation of organic material is known to range from very
good to excellent. A number of factors characterize the depositional environ-
ment, including weak subsurface ocean currents, the deep depth of the wreck at
26 m (85.3 feet), brackish water of low salinity, temperatures seldom
exceeding 5 Celsius (41 Fahrenheit), and the complete absence of aquatic
scavengers and bone modifiers that all contribute to favorable conditions for
the preservation of bone, wood, and other organic material, even after three
centuries. In fact, in addition to the skeletal remains, the wreck of the Kronan
has yielded a large quantity of excellently preserved organic materials such as
textiles, articles of fine clothing, butchered cow and pig bones, garlic cloves,
leaves of tobacco, wooden ship figureheads, and other items characterizing
shipboard life in the seventeenth century.
38 The taphonomy of maritime warfare
Figure 3.2. Cranium infused with rusted metal. Also note traces of multiple
horizontal straight-line defects on left zygomatic bone.
Figure 3.3. Abrasion and scuffing alterations on a distal fibula (top) and proximal
ulna (bottom).
Anna Kjellström and Michelle D. Hamilton 39
While the crew of the Kronan was composed of men from all social strata,
titles of officers and working men fluctuated during the seventeenth century.
Nevertheless, generally the Admiral was in command, followed by a Captain,
a Lieutenant-Commander, several skippers and foremen, and then seamen of
lower rankings. Other professional classes on board included administrative
personnel, physicians, pharmacists, soldiers, the ship’s priest, carpenters, sail
makers, trumpeters, and a timpanist (Skenbäck 1985). Most of the occupa-
tional groups were subdivided according to rank (i.e. apprentices, journeymen,
and masters). Based on archived letters from some of the widows and mothers
of the fallen men, the age of the crew ranged from young boys serving in
apprentice positions to professional mariners who had served in the Royal
Navy for more than 40 years (Olsson 1985).
The biological profile assessed by During as part of the preliminary
osteological analysis confirmed the historical documentation, and showed that
the skeletal assemblage was composed of males ranging from the age of 9 to
individuals in their 60s. A variety of pathological conditions consistent with
both the historical period and the occupation class are represented in the
skeletal material. A range of antemortem trauma and disease is observed on
both cranial and postcranial bone elements, including signs of cribra orbitalia,
enamel hypoplasia, caries, chronic infections in the form of periapical changes
and periostitis, and degenerative disorders such as osteoarthritis and osteo-
chondritis dissecans.
Beside these antemortem conditions and pathologies, intriguing evidence
of violent trauma was also found. Throughout her analysis, During identified
perimortem defects characteristic of sharp force trauma on at least 27 of the
260 individuals (10.4%) (see Figure 3.4 for examples charted on long
bones). This was not an expected finding, since the presence of sharp force
defects is not in accordance with percussive or blast injuries that might be
expected as a result of the ship-board explosions that blew the bow off,
leading to the quick sinking of the ship. Additionally, according to contem-
porary ethnohistoric sources, at no time did any enemy forces board the
fast-sinking ship to engage in close quarter, hand-to-hand combat
(Grandin 1985).
In her analysis, During suggested that these sharp force injuries were
incurred while the ship was sinking, and are the result of the actions of
trapped and panicked men wielding their knives and swords on each other
in a desperate attempt to slash their way out of the confines of the
sinking ship:
40 The taphonomy of maritime warfare
TIBIA and FIBULA Location and number of injuries FEMUR Location and number of injuries
)
(1
in
Caput (1)
-m
aj
m
o
Tr
Dia prox (1) (6) (6) Dia prox (2) Dia prox (5)
Dia prox (1)
(2) (4)
Dia mid (1) Dia mid (8) Dia mid (10)
Dia mid (1)
(12) (11)
Dia dist (6) Dia dist (9)
Dia dist (4) Dia dist (3)
RADIUS and ULNA Location and number of injuries HUMERUS Location and number of injuries
Figure 3.4. Locations and numbers of sharp force defect distributions on the
long bones originally charted by Professor Ebba M. During. Dia prox, proximal
diameter; dia mid, midshaft diameter; dia dist, distal diameter; mall fib, malleolus of the
fibula; fac pat, patellar facet on the distal femur; tro maj–min, greater and lesser
trochanter; cond lat, lateral condyle; dist epi, distal epiphysis; tub min, lesser tubercle;
trochl, trochlea.
Probably what we are looking at, and what these injuries are indicating, is a situation
on board the sinking ship characterized by chaos and panic. Members of the crew
are desperately trying to get out of the rapidly sinking ship, using all the means at
their disposal, both physical as well as psychological (During 1997: 594).
Sharp force trauma (often abbreviated, “SFT”) is a collective term for injuries
inflicted by bladed or pointed tools possessing edges, bevels, or points (Komar
and Buikstra 2008; SWGANTH 2011). Typical weapon classes capable of
producing sharp force trauma include knives, swords, axes, machetes,
hatchets, and saws. Bladed weapons capable of inflicting sharp force trauma
were present aboard the Kronan in the form of personal knives carried by the
common sailors, and rapier swords belonging to many of the soldier and
officer classes on board.
The trauma analysis protocol utilized in this project incorporates descrip-
tions and recommendations utilized in forensic anthropological praxis,
survey, and research contexts (e.g. Kimmerle and Baraybar 2008; Komar
and Buikstra 2008; Merbs 1989; Ong 1999; Quatrehomme 2007; Sauer and
Simson 1984; Stewart 1979; SWGANTH 2011; Symes et al. 2001, 2010;
Tegtmeyer 2012) in an effort to elucidate information about the patterning
and timing of the specific sharp force injuries observed on the men of
the Kronan.
Signatures of sharp force trauma on bone include defects such as straight-
line incisions, stab wounds, chop and hack marks, punctures, saw marks,
gouges, and kerfs (Kimmerle and Baraybar 2008; Symes et al. 2010).
There are also ancillary and associated injuries, including chop and crush
marks, that may mimic blunt force injuries or may present as a combina-
tion of sharp force and blunt force injuries known as “sharp blunt” or
“corto-contundente” trauma that results from dual contact from a weapon’s
sharp and non-sharp components in a single wounding episode (i.e. an axe
blade can leave an incised cut mark at the initial contact point, but addition-
ally the non-bladed portions of the axe head may also leave defects on the
bone that are blunt force in nature and appearance) (Komar and Buikstra
2008; SWGANTH 2011).
42 The taphonomy of maritime warfare
A standard analysis protocol was developed for this project to document the
defects present on the bones:
1. The bones were examined macroscopically and microscopically, and all
sharp force defects were identified and described according to element,
location, side, length, width, and depth.
2. The anatomical positioning and number of the defects present on each bone
were documented together with shape, length, depth, and direction (where
possible). All kerf walls and floors were microscopically examined under a
light microscope (magnification ranging from 8 to 35), measured, and
photographed (a “kerf” is the actual incised cut or channel; Symes et al.
2010). Existence and morphology of striae, if present, were noted and
described.
3. Since the bones were commingled, no attempts could be made to identify
wound patterns specific to any single individual, although overall patterns
of defect locations were documented (Figure 3.5).
1 1 1
1 1 1
1 1 1
1 2
1 1
1 1
1
1 1
1 1 1 1
1 1 1 1 1
1 1 1 1
1 1 1
1
1X 1
1
1
1 1
1 1 2
2
1 1 1 1
1 1
1X 1
1 11X 1
1 1 1 1 1 1 1
1
1 1 1
1 1 1
1 1
1 1
1 1 1 1
1 1 2 2
1 2 1
2 1 1 1 1
1 1 1 1 1 1
2 1 1 2 2 2
1 1
1 1
1 1
4
1 1 1 1 2 2
11 1 1
1 2 2
1
1 11 1 1
1 2 1 1 1
1 2 2
1 1 1 1 1
1 1 1
Figure 3.5. Overall number, location, and distribution of sharp force defects (chop
marks and incisions) found throughout the commingled assemblage (after Lodén 2008).
Anna Kjellström and Michelle D. Hamilton 43
4. Butchered cow and pig bones (Bos taurus, Sus scrofa) from barrels con-
taining the crew’s subsistence provisions were also recovered from the
wreck, and they exhibit clear sharp force butchering marks. The cow and
pig bones were used as a reference sample of known sharp force defects
inflicted during the early postmortem interval to compare against the
trauma observed on the human remains.
Perimortem injuries are those sustained by the individual in the period sur-
rounding the death event itself (Bennike 2008). In the absence of soft tissue, it
can be difficult to assess injuries sustained in the perimortem interval on
skeletonized individuals. This is because bones may retain the same signatures
of trauma and damage sustained in the perimortem interval as defects inflicted
in the early postmortem interval, owing to the inherent plastic properties of
fresh bone retained for some period even after an individual’s death (White
et al. 2012). This inability to estimate accurately the timing of wound
occurrence from the perimortem to early postmortem interval may confound
interpretations and lead to incorrect assumptions about the mechanism and
causes of trauma, because bone may still show perimortem bone response even
if the defects were incurred in the postmortem period. According to standard-
ized forensic anthropology guidelines (SWGANTH 2011: 3), characteristics
that indicate perimortem trauma include:
· AThelackpresence
of osteological activity such as healing or infectious response
· The absence ofofdryfreshbonebonefracture
fracture characteristics (e.g. plastic response)
· An overall fracture pattern characteristic
characteristics (e.g. angular fractures)
· deceleration). of a terminal event (e.g. rapid
Postmortem defects are taphonomic alterations that occur after the individual
has died, and are unassociated with the death event itself. Postmortem defects
in dry bone from archaeological, historic, or forensic depositional contexts can
be comparatively easy to identify because, once bone loses its organic content,
it reacts differently than fresh bone would to similar pressures or forces,
producing identifiable defects (i.e. angular fractures), and coloration changes
(i.e. lighter edges of more recently fractured bone). According to standardized
forensic anthropology guidelines (SWGANTH 2011: 3), characteristics that
indicate postmortem damage include:
postmortem defects, but is made all the more difficult by the fact that the bones
were never in a dry postmortem state until they were recovered some three
centuries later. They remained waterlogged in conditions conducive to organic
preservation for over 300 years, likely retaining organic content and biome-
chanical properties of fresh bone for quite some time.
Figure 3.6. Representative examples of sharp force trauma (incisions and chop marks)
found throughout the Kronan’s skeletal assemblage. A ¼ Right distal femur. B ¼ Right
frontal. C ¼ Right ulnar shaft. D ¼ Left tibial shaft. E ¼ Right proximal ulna.
F ¼ Right distal fibula. G ¼ Right humeral shaft. H ¼ Left fibular shaft. I ¼ Right
distal tibia. J ¼ Cow rib.
46 The taphonomy of maritime warfare
Figure 3.7. Photo of right scapula (left) and inset radiograph (right) displaying a square
impalement defect.
indicators of fresh bone response to certain types of sharp force trauma can
include such features as breakaway notches or spurs, chipping, chattering, or
bone shaving with attendant polish (Kerley 1973; Ong 1999; Symes et al.
2010). However, where these defects were noted (i.e. the chattering shown in
Figure 3.6E, or the polish shown in Figure 3.6G), it is unknown if they resulted
from an injury sustained in the perimortem interval or if they were incurred in
the postmortem interval and merely mimic a perimortem defect because of the
waterlogged (and hence potentially plastic) nature of the bone. Because of the
inherent complexity of the submerged depositional context, we were unable to
determine definitively whether the sharp force defects were inflicted in the
perimortem or postmortem period. Despite this, we do have known compara-
tive samples against which to compare these defects. The butchered cow and
pig bones recovered from the wreck of the Kronan provide exemplars for what
waterlogged postmortem sharp force defects look like on bone. These animal
bones were protected in barrels and a majority show clear signs of being
slaughtered units of meat. Among the commingled animal bones are elements
demonstrating trauma similar to that found on the human bones. For example,
a butchered cow rib displays straight-line incisions that bear a striking resem-
blance to the morphology of the sharp force trauma seen on many of the
human bones (compare Figure 3.6A and 3.6J), so postmortem infliction of
these defects should not be ruled out.
The final question we explored was whether the morphology, distribu-
tion, and patterning of sharp force defects reflected what would be expected
Anna Kjellström and Michelle D. Hamilton 47
This current project was undertaken to better define the trauma type, location,
and patterning present on a number of skeletal elements recovered from the
wreck of the Kronan. In terms of differentiating between perimortem and
postmortem trauma, no definitive assessment can be offered owing to the
complexities of estimating timing of these defects in waterlogged bone subject
to three centuries of diagenetic modifications. However, the results of this
current osteological analysis show the following:
· Ifexpected
the defects reflect close-quarter combat, they are not distributed on
bone elements
· regions (i.e. cutreflect
If the defects close-quarter combat, many are located in anomalous
marks located in between joint surfaces in the legs and feet)
· Butchered cow and pig bones with postmortem sharp force trauma show
very similar wound signatures to the human osteological material.
The forensic analysis confirmed that the defects were not caused by explosive
blast events, and that multiple bones do in fact have clear evidence of the type
of damage classified as sharp force trauma, i.e. injuries caused by sharp-edged
objects. Given the known facts of the sinking of the Kronan and the analysis of
the traumatic defects and patterning of the wound characteristics, it does not
appear that these defects resulted from the violent actions of panicked men
trying to escape the ship, as was previously proposed (During 1997). Patterns,
locations, and morphology of the cuts do not rule out postmortem timing, so
what might instead account for the variety and number of sharp force traumatic
injuries observed on many of the skeletal elements from the Kronan if they did
not, in fact, result from close-quarter conflicts?
We suggest an alternative hypothesis for the sharp force trauma signatures.
We propose the defects are taphonomic in nature, and likely reflect
48 The taphonomy of maritime warfare
References
Aufderheide, A. C. & Rodríguez-Martin, C. (1998). The Cambridge Encyclopedia of
Human Paleopathology. Cambridge: Cambridge University Press.
Bennike, P. (2008). Trauma. In: Pinhasi, R. & Mays, S. (eds.) Advances in Human
Palaeopathology, Chichester: John Wiley & Sons, 309–28.
Bevan, J. (1999). Diving bells through the centuries. South Pacific Underwater
Medicine Society Journal, 29, 42–50.
Delgado, J. P. (1997). Encyclopedia of Underwater and Maritime Archaeology.
New Haven: Yale University Press.
During, E. (1997). Specific skeletal injuries observed on the human skeletal remains
from the Swedish seventeenth century man-of-war, Kronan. International Journal
of Osteoarchaeology, 7, 591–4.
Einarsson, L. (1990). Kronan – underwater archaeological investigations of a
17th-century man-of-war. The nature, aims and development of a maritime
Anna Kjellström and Michelle D. Hamilton 49
4.1 Background
Bioarchaeological and Forensic Perspectives on Violence: How Violent Death is Interpreted from
Skeletal Remains, ed. D. L. Martin and C. P. Anderson. Published by Cambridge University Press.
© Cambridge University Press 2014.
51
52 Homocide vs. suicide in gunshot wounds
Figure 4.1. b GSW – entrance in right frontal, exit near landmark lambda. Homicide.
54 Homocide vs. suicide in gunshot wounds
In some incidents involving assaults with a firearm, the victims make attempts
to protect themselves by positioning themselves to minimize the target area
presented by their body or by placing their arms in front of their faces in an
attempt to protect their face and head. Distinctive wounds to the bones of the
forearm, the ulna and radius, and the hand may be observed, indicating that
such self-defense posturing was attempted by the victim. For example, a victim
apprehending that the bullet/projectile is approaching to hit them in the head
may instinctively attempt to protect their head either by turning it away or by
raising the arms, with the bullet passing-off just by grazing the scalp or
striking/hitting the arm (Vij et al. 2012).
When examining and evaluating a potential self-defensive GSW, special
attention must be made to determine the trajectory of the projectile, taking into
account possible changes in body orientation. A GSW to the radius may have
the appearance of a posterior–anterior trajectory when considering the body in
a standard anatomical position, but may in fact have been an anterior–posterior
trajectory if the arm was raised in front of the face and head for protection.
There can never be 100% certainty about the position/orientation of the victim
and the perpetrator of GSWs, but the careful evaluation and consideration of
all possible positions/orientations in conjunction with the GSWs can result in
the inclusion and exclusion of certain scenarios, which in turn can assist in the
assessment of manner of death.
firearm (Haag 2005). Therefore, in addition to the distance between the firearm
muzzle and surface of the body, the pattern of powder burns and stippling are
influenced by the type of firearm, as well as the type of ammunition and
propellant within that round, producing distinctive patterns (Haag 2005).
In a retrospective study of 288 GSW fatalities, Druid (1997) determined that
suicidal GSWs were predominantly contact wounds, while only 33 of 112
(approximately one-third) of the homicidal GSWs were contact, near-contact,
or intermediate-range wounds. Suicide entrance wound sites tended to occur at
the mouth, right temple, or left chest, while homicide entrance wound sites
tended to be more variable. Although 38% of the homicidal GSWs had
entrance wounds to the right temple and the left side of the chest (sites
common to suicidal GSWs), the trajectory of these wounds differed signifi-
cantly from suicidal wounds (Druid 1997). A back-to-front trajectory is more
common in homicide, even with a GSW to the right temple, and an intraoral
GSW with a downward trajectory is not likely to occur in a suicide, but is more
common in homicide. A study by Karger et al. (2002) supports the findings
discussed by Druid, yet they caution that certain trajectories cannot be utilized
to exclude suicide.
In an exhaustive study of rifle GSWs, Molina and DiMaio (2008) found that
the location of suicidal rifle GSWs tended to be intraoral, while homicidal head
wounds tended to be temporoparietal or occipital. Yet, a wound to the head is
3.5 times more likely to be a result of suicide than homicide. With regard to
wounds to specific locations on the head, wounds to the back of the head are
28 times more likely to be a homicide, as are wounds to the face (33 times
more likely). Additionally, the presence of multiple rifle wounds was 21.6
times more likely to be a result of homicide than suicide. With regard to range-
of-fire, distant rifle wounds are 1000 times more likely to be homicide;
intermediate rifle wounds are 2.5 times more likely to be homicide; and contact
rifle wounds are 170 times more likely to be suicide.
Similar results were obtained when these researchers examined cases
involving shotgun GSWs (Molina et al. 2007). As with rifle GSWs, Molina
et al. (2007) found that the location of suicidal shotgun GSWs tended to be in
the head and was predominantly intraoral or submental, while homicidal
shotgun wounds tended to occur in the chest and head, with the specific
location of head wounds in the face. Multiple wounds and multiple locations
of wounds were seen more frequently in cases involving homicide than in
cases of suicide. Contact wounds were observed more frequently in suicides
than homicides, while distant wounds were observed more frequently in
homicide cases (Molina et al. 2007).
Figures 4.3a and 4.3b illustrate several examples of multiple GSW traumas,
as well as GSW trajectory. The decedent in Figure 4.3a received three GSWs,
58 Homocide vs. suicide in gunshot wounds
one in each of the right, left, and mid upper torso. Evaluation of the wounds
indicated the trajectory of fire was posterior–anterior, and slightly superior–
inferior, a trajectory that is most clearly recognized when examining the
damage present to the first and second thoracic vertebrae. Figure 4.3b presents
two cases, one involving wounds to the occipital and posterior parietal bones
and the second involving wounds to adjacent right ribs. The entrance wounds to
the cranium clearly indicate a trajectory of posterior–anterior, and slight left–
right. The presence of multiple GSWs, the close anatomical proximity of the
wounds, and the trajectory of these wounds are all consistent with homicide.
4.6 Discussion
Figure 4.3. b Multiple GSWs to left parietal and occipital, and adjacent right ribs.
search of the scientific literature has revealed that few articles have been
published dealing with assessing and determining manner of death in GSWs.
Most of the articles found are either case studies dealing with unusual GSW
deaths (Durak et al. 2006; Kury et al. 2000; Sekula-Perlman et al. 1998;
Zietlow and Hawley 1993) or surveys of GSW cases examining wound
location, number of wounds, and/or range of shot (Karger and DuChesne
1997; Karger et al. 2002; Molina and DiMaio 2008; Molina et al. 2007).
Some features and lines of evidence utilized to evaluate manner of death in
GSWs, and all mechanisms of death for that matter, are so “self-evident” that
almost no scientific literature is dedicated to their discussion and review,
making any mention of them seem “anecdotal,” as is the case with this chapter.
Some of these features are the presence of ligatures and blindfolds, evidence of
possible defensive wounds, and the disposition of the remains (i.e. buried,
60 Homocide vs. suicide in gunshot wounds
To many readers, this chapter will seem “simplistic” and “anecdotal,” and in
all honesty it is. The paucity of scientific literature dealing with this topic is a
reflection of how most of these features become “common knowledge” and
“obvious” as forensic practitioners gain more experience and exposure to more
cases. The correct assessment of manner of death depends on the accurate
observation, evaluation, and interpretation of all evidence related to the case.
The knowledge base that is required by forensic practitioners, that which is
necessary to make these accurate investigations, is often acquired through first-
hand experience. For each case involving GSWs, there is physical evidence
that can be scientifically, “objectively” examined and empirical data that can
be collected. It is the “subjective” interpretation of this evidence and empirical
data to determine manner of death that has garnered little scientific evaluation
and, as a result, there are few publications in the scientific literature.
References
Desinan, L. & Mazzolo, G. M. (2005). Gunshot fatalities: suicide, homicide or
accident? A series of 48 cases. Forensic Science International, 147S, S37–40.
Druid, H. (1997). Site of entrance wound and direction of bullet path in firearm
fatalities as indicators of homicide versus suicide. Forensic Science International,
88, 147–62.
Durak, D., Fedakar, R. & Türkmen, N. (2006). A distance-range, suicidal shotgun
wound of the back. Journal of Forensic Sciences, 51, 131–3.
Haag, L. C. (2005). Physical forms of contemporary small-arms propellants and their
forensic value. The American Journal of Forensic Medicine and Pathology, 26,
5–10.
Hejna, P., Šafr, M. & Zátopková, L. (2012). The ability to act – multiple suicidal
gunshot wounds. Journal of Forensic and Legal Medicine, 19, 1–6.
Karger, B. & DuChesne, A. (1997). Who fired the gun? A causistic contribution to the
differentiation between self-inflicted and non-self-inflicted gunshot wounds. Inter-
national Journal of Legal Medicine, 110, 33–5.
Karger, B., Billeb, E., Koops, E. & Brinkmann, B. (2002). Autopsy features relevant for
discrimination between suicidal and homicidal gunshot injuries. International
Journal of Legal Medicine, 116, 273–8.
Kimmerle, E. H. & Baraybar, J. P. (eds.) (2008). Skeletal Trauma: Identification of
Injuries Resulting from Human Rights Abuses and Armed Conflict. Boca Raton:
CRC Press.
Kury, G., Weiner, J. & Duval, J. V. (2000). Multiple self-inflicted gunshot wounds to
the head: report of a case and review of the literature. The American Journal of
Forensic Medicine and Pathology, 21, 32–5.
Meddings, D. R. & O’Conner, S. M. (1999). Circumstances around weapon injury in
Cambodia after departure of a peacekeeping force: prospective cohort study.
British Medical Journal, 319, 412–15.
62 Homocide vs. suicide in gunshot wounds
Molina, D. K. & DiMaio, V. J. (2008). Rifle wounds: a review of range and location as
pertaining to manner of death. The American Journal of Forensic Medicine and
Pathology, 29, 201–5.
Molina, D. K., Wood, L. E. & DiMaio, V. J. (2007). Shotgun wounds: a review of range
and location as pertaining to manner of death. The American Journal of Forensic
Medicine and Pathology, 28, 99–102.
Roksandic, M. (2002). Position of skeletal remains as a key to understanding mortuary
behavior. In: Haglund, W. D. & Sorg, M. H. (eds.) Advances in Forensic Taph-
onomy. Method, Theory, and Archaeological Perspectives. Boca Raton: CRC
Press, 99–117.
Schmitt, S. (2002). Mass graves and the collection of forensic evidence: genocide, war
crimes, and crimes against humanity. In: Haglund, W. D. & Sorg, M. H. (eds.)
Advances in Forensic Taphonomy. Method, Theory, and Archaeological Perspec-
tives. Boca Raton: CRC Press, 277–92.
Sekula-Perlman, A., Tobin, J. G., Pretzler, E., Ingle, J. & Callery, R. T. (1998). Three
unusual cases of multiple suicidal gunshot wounds to the head. The American
Journal of Forensic Medicine and Pathology, 19, 23–9.
Spitz, W. U. (1993). Spitz and Fisher’s Medicolegal Investigation of Death: Guidelines
for the Application of Pathology to Crime Investigation. Springfield, IL: Charles
C. Thomas.
Tokdemir, M., Kafadar, H., Turkoglu, A. & Bork, T. (2007). Forensic value of
gunpowder tattooing in identification of multiple entrance wounds from one bullet.
Legal Medicine (Tokyo, Japan), 9, 147–50.
Vij, K., Garg, A., Sandhu, S. S., Langeh, S. & Bakshi, I. (2012). Medicolegal implica-
tions of defence wounds. Journal of Punjab Academy of Forensic Medicine &
Toxicology, 12, 54–6.
Zietlow, C. & Hawley, D. A. (1993). Unexpectedly homicide: three intraoral gunshot
wounds. The American Journal of Forensic Medicine and Pathology, 14, 230–3.
5 The first cut is the deepest: looking
for patterns in cases of human
dismemberment
andrew c. seidel and l aura c.
fu l gini t i
5.1 Introduction
Bioarchaeological and Forensic Perspectives on Violence: How Violent Death is Interpreted from
Skeletal Remains, ed. D. L. Martin and C. P. Anderson. Published by Cambridge University Press.
© Cambridge University Press 2014.
63
64 Looking for patterns in cases of human dismemberment
usually done in an effort to mask the identity of the victim, although this
motivation is less likely when all of the removed body parts are deposited
in the same place (Konopka et al. 2006; Reichs 1998). Generalized dismem-
berment usually involves the removal of the limbs and/or the head and is
typically inferred to have been done to facilitate transportation or concealment
of the corpse (Figure 5.1). Generalized dismemberments can be further sub-
divided into: (1) body bisections, in which the corpse is separated by a
horizontal cut through the torso (Kahana et al. 2010); (2) limb bisections, in
which the limbs are cut through the diaphyses or metaphyses of the long
bones; and (3) disarticulations, in which limb removal is accomplished by
severing the joints themselves; this is characterized by cut marks in the
intracapsular area, surrounding muscle insertions, and near articular surfaces
(Kahana et al. 2010; Reichs 1998). Of these three patterns of generalized
dismemberment, disarticulations are frequently described as reflecting some
degree of knowledge concerning anatomy or butchering (Kahana et al. 2010;
Reddy 1973; Reichs 1998). This assertion has been challenged by Konopka
et al. (2007) who, in their analysis of 23 dismemberment cases from Poland,
found only one instance out of four disarticulations in which the perpetrator’s
profession (a cook) even loosely related to anatomical knowledge. However,
the profession of a perpetrator does not necessarily reflect their interests,
education, or training.
Regardless of the pattern of cuts or whether or not it was the intended effect,
dismemberment introduces complications into the investigation of the accom-
panying crime. As discussed earlier, the act of dismembering may serve to
obscure the identity of the victim. Furthermore, the damage to the body
incurred during the dismemberment may conceal the actual cause of death,
thereby leaving open the possibility of the death being ruled accidental,
suicidal, or natural, and consequently the effective erasure of a crime
(Di Nunno et al. 2006; Rajs et al. 1998). As a result of these and other
difficulties, dismemberment cases are typically more challenging to close.
In Japan, for instance, the clearance rate for dismemberment cases is 78%, as
opposed to a reported 90% clearance rate for all homicides in that country
(Watanabe and Tamura 2001), and an even lower clearance rate is reported for
Poland (Konopka et al. 2007). For the cases presented below from Maricopa
County, seven out of eight were solved.
Such difficulties have led many researchers to advocate extensive documen-
tation of cases involving dismemberment. The scene of recovery itself should
66 Looking for patterns in cases of human dismemberment
Figure 5.2. Kerf wall from femur of Case 6. White arrows illustrate the two different
orientations of striae. Note the breakaway spur.
interventions. DNA samples and dental radiographs should also be taken when
possible. Lastly, casts of the cut specimens or the specimens themselves should
be retained for possible future analyses (Di Nunno et al. 2006; Hyma and Rao
1991; Reichs 1998). Furthermore, if specimens are retained, then reapprox-
imation of remains can be attempted should additional body segments be
discovered at a future date (Buikstra and Gordon 1980).
After maceration, additional important information regarding tool type
used, cutting sequence, and the directionality of blade progress can and
should be gleaned from examination of the skeletal tissue. Reichs (1998)
advocates the retention of sections of bone extending at least 3 inches from
the cut surface to preserve any potential false start defects. False starts are
particularly good indicators of saw tooth shape and size (Symes et al. 1998).
Further, both halves of a cut should be investigated whenever possible as
differences in the characteristics of the kerf walls can provide information
about the type of cutting implement used. Directionality of the cut can be
traced from the aspect of the bone exhibiting false starts to the aspect of the
cut exhibiting breakaway spurs (Figure 5.2). This information, in combin-
ation with the observation and recording of any super-positioning of defects
on the bone, can help shed light on the sequence of dismemberment as
well as body positioning during the act of dismemberment (Reichs 1998).
Determining the sequence of injuries is especially important to rule out
dismemberment itself as the cause of death (Delabarde and Ludes 2010).
68 Looking for patterns in cases of human dismemberment
5.4.1 Case 1
Figure 5.3. Third through sixth thoracic vertebrae from Case 1. White arrows indicate
the three different sharp force defects used to remove the victim’s head and neck.
appear to be associated with these cuts as well as the removal of the arms. In
addition to this unorthodox removal of the head and neck, the sternum of
the victim was bisected sagittally.
5.4.2 Case 2
These remains consisted of an adult male torso that was placed in a sealed
Rubbermaid tub and deposited in a remote commercial dumpster. The victim
was decapitated by a transverse cut through the third cervical vertebra and
sectioned again at the level of the third lumbar vertebra. In addition, the left
humerus was cut at a level approximately 9.0 cm inferior to the humeral head,
and the right humerus was bisected approximately 11.0 cm inferior to the head.
The head, lower portion of the upper limbs, abdomen, pelvis, and lower limbs
were never recovered.
Macroscopic and microscopic investigation of the cut surfaces of the verte-
brae and the humeri revealed that all cuts were made in a single event and
exhibited fine, fairly uniform striations. Experimental cut marks made by a
Milwaukee Heavy Duty “Sawzall” Brand saw using a 12-inch blade on
70 Looking for patterns in cases of human dismemberment
donated human femora were found to match the defects evident on the
cut surfaces of the vertebrae and humeri from this case.
5.4.3 Case 3
5.4.4 Case 4
femur were found to match the defects evident on the cut surfaces of the
vertebrae and tibiae from this case. Additionally, there was microscopic
evidence that the torso had been frozen prior to dismemberment.
5.4.5 Case 5
5.4.6 Case 6
Portions of a decomposed adult male were discovered inside a suitcase that had
been placed within a commercial dumpster. Remains initially submitted for
analysis consisted of a partial human torso, including the inferior half of the
fourth cervical vertebra, the right and left proximal humeri, and the right and
left proximal femora. A separate portion included the distal portion of the right
femur as well as the proximal two-thirds of the right tibia and fibula.
Upon maceration, the fourth cervical vertebra was found to be bisected
transversely. The cut surface exhibited parallel striations that measured
approximately 0.1 cm in width and were oriented roughly mediolaterally.
The right humerus was bisected approximately 10.0 cm inferior to the humeral
head. The cut surface exhibited a breakaway spur on the anterior aspect of the
bone as well as two false starts on the lateral edge of the bone located superior
to the cut surface. Striae evident on the cut surface measured approximately
72 Looking for patterns in cases of human dismemberment
0.1 cm in width and were generally oriented mediolaterally. The left humerus
was also bisected at a level approximately 10.0 cm inferior to the humeral head
and exhibited a breakaway spur on the medial aspect of the bone. Three false
starts were evident on the lateral aspect of the bone located superiorly to the
bisection. The cut surface exhibited roughly parallel striae, oriented antero-
posteriorly in direction, and measuring approximately 0.1 cm in width. The left
femur was bisected approximately 19.1 cm inferior to the femoral head and
exhibited a breakaway spur on the medial aspect of the bone. The cut surface
exhibited roughly parallel striations that measured approximately 0.1 cm in
width and were oriented both anteroposteriorly and mediolaterally. The right
femur was bisected approximately 20.3 cm inferior to the femoral head and
exhibited a breakaway spur on the posteromedial aspect of the bone. The cut
surface exhibited roughly parallel striae that were oriented more-or-less antero-
posteriorly. The inferior portion of the femur exhibited false starts on both the
lateral and the anterior aspects. The right tibia was bisected approximately
29.1 cm inferior to the proximal end and the cut exhibited a step-off at the
lateral edge. The cut surface exhibited roughly parallel striae that measured
approximately 0.1 cm in width and were oriented both mediolaterally and
anteroposteriorly. There were two false starts on the medial aspect of the bone.
The right fibula was bisected approximately 27.3 cm below the proximal end
and exhibited a breakaway spur on the lateral aspect. There was a false start on
the medial side of the bone. The inferior portion of the fourth cervical vertebra
could be reassociated with its superior portion, which was submitted along
with the remainder of the cervical vertebrae and the skull under a separate case
number. Nine months later, the right ankle and foot; the left hand, radius, ulna,
and distal two-thirds of the humerus; the left knee, including the distal femoral
shaft and the proximal tibia and fibula; and the left foot of the same individual
were recovered from a separate location (Figure 5.4).
5.4.7 Case 7
After maceration, several long, linear, V-shaped sharp force defects were
identified on the cranium, some of which were associated with areas of missing
bone. Several more sharp force defects were located on the third cervical
vertebra, which had fractured into three pieces, as well as the fourth and fifth
cervical vertebrae. These defects are consistent with decapitation. The left
eighth rib and right seventh rib exhibited defects along their shafts. The right
radius and ulna both exhibited complete fractures of the distal shaft associated
with a sharp force defect. The radius exhibited two additional sharp force
defects, and the ulna exhibited an additional four. These defects were all
consistent with self-defense wounds. Over 1 year later, additional portions of
the cranium, as well as the mandible and the atlas, were recovered.
5.4.8 Case 8
The body of an adult female was discovered in the hallway of her home with
a hacksaw embedded in her right lower leg. The right proximal tibia and
fibula of an adult female were submitted for maceration and the evaluation
74 Looking for patterns in cases of human dismemberment
of osseous traumata. The medial aspect of the right tibial shaft exhibited
multiple incised defects, V-shaped in profile. Multiple incised defects were
also present on the anteromedial and lateral aspects of the tibia, although
these were shallower in depth than those on the medial aspect. A single
incised defect, square-shaped in cross-section, was present further down the
tibial shaft. The morphology of this latter defect was consistent with that
produced by a saw blade known to have been used on the decedent. Although
incomplete, this defect was meant to dismember the victim; however, the
suspect “got tired.”
Despite their overall rarity (Dogan et al. 2010; Konopka et al. 2007; Rajs et al.
1998), several studies have been carried out utilizing samples of homicides
with postmortem mutilation, typically involving dismemberment. Results of
these studies suggest that several characteristics of this kind of crime are fairly
common. To begin with, most dismemberment cases are classified as defen-
sive in nature, and most perpetrators are male. In Maricopa County, while the
majority of cases appear to be defensive in nature, the majority of the perpet-
rators were female.
Research suggests that the bulk of dismemberments are committed by
perpetrators who knew their victims, and often were related to them either
by blood or marriage (Häkkänen-Nyholm et al. 2009b; Konopka et al. 2007;
Rajs et al. 1998; Watanabe and Tamura 2001). For example, in only 8.7% of
Polish cases were the victim and the offender unknown to each other
(Konopka et al. 2007) and the corresponding proportion for a sample of
Japanese cases is 13.3% (Watanabe and Tamura 2001). In Maricopa County,
the victims and suspects knew each other in all seven instances in which both
parties were identified. In only three of these cases, however, were they
intimate relations.
Most dismemberments took place at the scene of the preceding homicide,
often the private residence of the victim, the perpetrator, or both, and most
cases involved tools that were readily available, such as kitchen knives, axes,
woodworking saws, or hacksaws (Konopka et al. 2007). This holds true in
Maricopa County as well.
Dismemberment cases are more common in large urban areas (Rajs et al.
1998), but this observation may be caused by other factors such as increased
population density or increased presence of law enforcement agencies and
hence an increased chance of detection. Most offenders who dismember their
victims have a history of psychiatric treatment (Häkkänen-Nyholm et al.
Andrew C. Seidel and Laura C. Fulginiti 75
The majority of homicides are committed by males. Although the value varies
from place to place and year to year, most studies report that females only
commit between 7% and 15% of homicides annually (Goetting 1988;
Häkkänen-Nyholm et al. 2009a; Jurik and Winn 1990; Karlsson 1998;
Kellerman and Mercy 1992; Ormstad et al. 1986; Putkonen et al. 2001; Rogde
et al. 2000). The victims of female homicide offenders are typically male, and
more likely to be family members or intimates, especially (ex)spouses or (ex)
lovers, with between 60% and 78% of the victims reported as falling into these
categories (Goetting 1988; Häkkänen-Nyholm et al. 2009a; Jurik and Winn
1990; Mann 1990; Ormstad et al. 1986; Putkonen et al. 2001; Weizmann-
Henelius et al. 2003). Conversely, women are far less likely to kill strangers
than are males (Mann 1990; Weizmann-Henelius et al. 2003). A study of
female homicide offenders in Finland found that the victims had no relation-
ship with the offender in only two out of 125 cases (Putkonen et al. 2001).
Women are almost twice as likely as males to participate in victim-precipitated
killings (i.e. the victim initiated the conflict by acting violently towards their
eventual slayer) (Goetting 1988; Jurik and Winn 1990). Perhaps related to this
component of self-defense, women have also been found to be more likely
76 Looking for patterns in cases of human dismemberment
than males to remain at the scene and to notify somebody after the crime has
been committed (Goetting 1988; Häkkänen-Nyholm et al. 2009a). Likely
related to all of the above observations, women have also been found to kill
in private settings more often than males – either in their own home, that of the
victim, or the residence that they share with the victim (Goetting 1988;
Häkkänen-Nyholm et al. 2009a; Jurik and Winn 1990; Mann 1990).
Within the larger population of female homicide offenders, there seems to
be some meaningful variation. According to one study, based in Finland,
women who attacked (but did not necessarily kill) strangers or acquaintances
were more likely to have a history of violence, to have a higher rate of violent
recidivism, and to have a higher rate of alcohol abuse. Women who attacked
individuals who were emotionally close to them tended to be older (mean age
37 as opposed to mean ages of 30.1 and 28.7 for women who attacked
acquaintances and strangers, respectively), were more usually married, more
often mothers, more often employed, and typically were better educated
(Weizmann-Henelius et al. 2003). Another study found that personality dis-
orders and psychoses among female homicide offenders show some degree of
segregation based on their victim profile. Women who attacked adults tended
to be diagnosed with personality disorders, while those individuals who
victimized children tended to be diagnosed with psychotic disorders (Putkonen
et al. 2001).
Further differences become apparent between male and female homicide
offenders when the murder weapon is considered. Häkkänen-Nyholm et al.
(2009a) found that firearms, punching, and kicking are more likely to be
employed by male offenders, while suffocation was found more often among
female offenders. They suggest that this pattern is likely associated with the
higher number of children that are killed by women in their Finnish sample. In
another sample from Finland, Putkonen et al. (2001) found that stabbing was
the most common means of homicide, accounting for 65% of cases, followed
by strangulation and blunt force (12% and 11%, respectively). Studies based in
the USA found that female homicide offenders most often used a handgun to
commit the crime, but that they also resorted to stabbing their victim more
often than male homicide offenders (Goetting 1988; Jurik and Winn 1990;
Kellerman and Mercy 1992). Regarding female homicide victims, a study
carried out in the USA between 1976 and 1987 reported that almost 30% of
female victims were bludgeoned, strangled, or suffocated. The comparable
proportion for male homicide victims is 12% (Kellerman and Mercy 1992).
Given these reported differences in the victim profiles and manner of killing
between male and female homicide offenders, is it not possible that similar
sex-based differences exist in the population of individuals who dismember
their victims?
Andrew C. Seidel and Laura C. Fulginiti 77
Andrews 2003 2
Delabarde & Ludes 2010 2
Di Nunno et al. 2006 2
Dogan et al. 2010 1
Hyma & Rao 1991 4
Kahana pers. comm., May 16, 2013 20
Karger et al. 2000 1
Konopka et al. 2006 1
Konopka et al. 2007 23
Rajs et al. 1998 20
Randall 2009 1
Reddy 1973 1
Reichs 1998 7
Sugiyama et al. 1995 3
Symes et al. 2001 2
Toms et al. 2008 2
Tümer et al. 2012 2
Unpublished cases 8
78 Looking for patterns in cases of human dismemberment
Table 5.2. Select descriptive statistics for males and females both as victims
of dismemberment and as perpetrators.
Male suspects 39.0 (n ¼ 36) 33.5 18–71 50.0 (23/46) 37.9 (n ¼ 46)
(n ¼ 46)
Female suspects 37.1 (n ¼ 9) 33 22–50 57.1 (8/14) 37.9 (n ¼ 14)
(n ¼ 14)
size is too small for statistical validation of this result. The mean number of
body segments produced throughout the course of the dismemberment is
slightly higher among male suspects, but not significantly so (t ¼ 1.36;
P value ¼ 0.18). The number of deaths attributed to sharp force, blunt force,
strangulation, and gunshot wounds seem to differ, with female suspects rarely
employing strangulation or firearms, but again, the sample is too small for
statistical comparison. Roughly in line with characteristics of female homicide
offenders, 12 out of 14 female suspects in this sample (85.7%) dismembered
an intimate relation. In comparison, intimate relations were the victims of
dismemberment for 23 out of 42 male suspects (54.8%).
Very few differences emerge between the populations of male and female
victims of dismemberments or between the populations of male and female
offenders. In comparison to the general population of homicides, both males
and females share relatively equal representation as victims of dismemberment
(as opposed to a predominance of males as victims in the general homicide
population). Likewise, while females tend to account for approximately 15%
of the homicides committed, they account for a larger proportion of dismem-
berments committed (23.3% of the current sample). Proportionally more
females were killed by strangulation and proportionally more males were
killed by gunshot wounds. Likewise, although sample size was small, female
suspects appeared to prefer either blunt or sharp force as a means of dispatch-
ing their victims, while males also employed strangulation and, rarely in this
sample, firearms. Despite an already documented predilection for female
suspects to kill intimate relations, the female suspects who carried out dismem-
berments killed intimate relations almost exclusively.
The results of this analysis are extremely limited. The data employed were
compiled from published sources, and with little consistency of the kinds of
information presented between publications. This served to drastically reduce
the sample size for any given comparison of variables. Further, many published
case studies are published because of their spectacular nature. Inclusion of
such cases in the current study may skew the dataset in unpredictable ways.
Additional problems exist in compiling a dataset of cases from several different
places and time periods. Removing such cases from their cultural and temporal
context may destroy the evidence for any regional patterns that exist in this kind of
violence. Nevertheless, the relative rarity of dismemberment cases necessitates
such compilation in the hopes of creating statistically viable comparative samples.
Despite the limitations of the current dataset, some intriguing differences
were suggested between both male and female dismemberment victims and
80 Looking for patterns in cases of human dismemberment
Acknowledgments
The authors would like to thank Dr. Tzipi Kahana for her assistance in
providing us with details concerning a series of dismemberment cases that
she analyzed. We would also like to acknowledge the Maricopa County Office
of the Medical Examiner.
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82 Looking for patterns in cases of human dismemberment
6.1 Introduction
Bioarchaeological and Forensic Perspectives on Violence: How Violent Death is Interpreted from
Skeletal Remains, ed. D. L. Martin and C. P. Anderson. Published by Cambridge University Press.
© Cambridge University Press 2014.
83
84 Victims of violence?
La Cueva de Dos Cuchillos (The Cave of the Two Knives) is a cave burial site
located in the Sierra Madre Occidental near the town of San Francisco de Borja
in Chihuahua, Mexico (see Anderson et al. 2012; Brooks and Brooks 1990).
Human remains and artifacts from this site were collected by Richard and
Sheilagh Brooks during 1956 and 1957 while they were surveying and exca-
vating archaeological sites in Chihuahua and Durango (Brooks and Brooks
1990). The site has been described by Brooks and Brooks (1990) as a small
cave with a midden inside that contained human remains and artifacts. The La
Cueva de Dos Cuchillos site is located in a region that is now populated by
people of the modern Rarámuri culture (Bennett and Zingg 1976; Brooks and
Brooks 1990; Kennedy 1996; Merrill 1988; Pennington 1963). The topog-
raphy of this region of the Sierra Madre Occidental is described as foothills,
with channels running down them, resulting from the erosion of rivers and
arroyos. Inside the channels there are a number of rock shelters and caves
(Brooks and Brooks 1990).
During excavation of the cave, human skeletal remains were discovered
commingled and scattered in the cultural deposits of the midden. Some of the
skeletal remains were also burned, although evidence for fire within the cave
was not discovered by the excavators (Brooks and Brooks 1990). Artifacts in
the cave included corn cobs, ceramics, basket fragments, spindle whorls,
beads, burned wooden sticks, the foreshaft of an arrow, gourd ladles, red
ocher, a scraper, manos, smoothing stones, a chopper, stone flakes, stone bowl
pieces, and shell pendants. Additionally, two metal knives, thought to date to
the seventeenth or eighteenth century, were found with blue trade beads from
the colonial period. There was no specific association between the human
remains and either the historic or precolonial artifacts. Because of the types of
artifacts present in the cave, it was originally thought that remains represented
Cheryl P. Anderson 85
a closely related group of people that dated between the late precolonial period
and the eighteenth century (Brooks and Brooks 1990; Brooks and Brooks
n.d.). A recent radiocarbon date of cal AD 1280–1400 now shows that at least
some individuals date to the late precolonial period, although it is possible that
other burials are from later time periods. The radiocarbon date was obtained
from the mandible of burial 1–118; this is an old adult (50þ years) male to be
discussed in more detail below (Anderson et al. 2012).
A reanalysis of the human remains from La Cueva de Dos Cuchillos was
performed using standard osteological procedures (Bass 2005; Brooks and
Suchey 1990; Buikstra and Mielke 1985; Buikstra and Ubelaker 1994; Hillson
1996; Johnston 1962; Phenice 1969; Scheuer and Black 2000; Smith 1991) to
document and explain signs of trauma and potential violence. The minimum
number of individuals was estimated based on the most represented skeletal
element (Stodder and Osterholtz 2010; White 1992; White et al. 2012). At
least 17 individuals were interred in the cave, including ten adults and seven
subadults. During the analysis, one old adult male, burial 1–118 (mentioned
above) was found to exhibit perimortem chop marks on the left os coxa, left
femur, and right tibia (Anderson et al. 2012). The chop mark located on the
proximal right tibia is shown in Figure 6.1. Additionally, two isolated second
Figure 6.1. Proximal right tibia with chop mark (adapted from Anderson et al. 2012).
86 Victims of violence?
or disease. In this case, the ethnographic data made it possible to rule out some
of these scenarios through an understanding of the principal components of
Rarámuri burial rituals and their social meaning.
According to the ethnographic reports, the Rarámuri have been described as
a semi-nomadic, semi-agricultural people living in Western Chihuahua,
Mexico. At the time of Spanish contact the Rarámuri were surrounded by
several cultural groups, including the Tubar, Témori, Tepehuán, Concho, Jova,
Pima Bajo, Guazapar, and Varohío. All of these peoples speak closely related
Uto-Aztecan languages (Bennett and Zingg 1976; Pennington 1963). Trad-
itionally, Rarámuri subsistence included mainly corn, beans, and squash,
accompanied by fish and wild plants (Pennington 1963). Residential practices
have been described by Lumholtz (1902) and suggest that Rarámuri were
generally mobile and would inhabit different locations throughout the year.
Residence type was described as variable, with some groups living in houses,
some in caves, and some groups alternating between caves and houses at
different times during the year (Lumholtz 1902).
Ethnographic reports also describe distinct Rarámuri burial practices and
ideas about the dead. Death, according to modern Rarámuri beliefs, occurs
when an individual’s soul separates from the rest of the body. This results in a
deceased individual that is still perceived to be alive by the community,
although in an altered state. The dead can be encountered by the living while
they are asleep or sometimes also while they are awake (Merrill 1988). The
potential for interaction between the living and the dead is a cause for concern,
however, among the Rarámuri as the living can become ill if they come into
contact with the soul of a deceased person (Lumholtz 1902; Merrill 1988) or if
they consume any food or drink contaminated by the deceased (Merrill 1988).
The souls of the dead do not reside solely in the world of the living and some
suggest that the souls can move between heaven and earth or that, after all of
the necessary burial rituals are completed, the dead will go to heaven perman-
ently (Merrill 1988).
Because of the potential for the dead to harm the living, people commonly
fear the dead and do what is required to convince them to leave the living alone
(Lumholtz 1902; Merrill 1988). To accomplish this, the Rarámuri must satisfy
the needs of the deceased. One of the first required actions of the living is to
give the deceased a proper burial (Merrill 1988). Specific burial practices can
include wrapping the deceased in a blanket and placement of their hands tied
together on their chest with a cross or down at their sides (Bennett and Zingg
1976; Kennedy 1996; Lumholtz 1902; Merrill 1988). After wrapping a
deceased individual, a fire is built next to the body (Bennett and Zingg
1976; Kennedy 1996; Merrill 1988). On the ground a cross and rosary are
placed and near the cross there are items such as food, clothes, and knives.
88 Victims of violence?
These are the possessions the deceased used during their lifetime (Bennett and
Zingg 1976; Kennedy 1996). Food items interred with the dead will often
include corn and beans. The body of the dead individual is then placed in a
house by itself and everyone else in the household sleeps elsewhere (Bennett
and Zingg 1976; Kennedy 1996; Merrill 1988). People often do not wish to
touch the body and are afraid of being in close proximity (Kennedy 1996;
Merrill 1988). The dead are generally left in the house for one night and then
buried the next day (Bennett and Zingg 1976; Kennedy 1996; Merrill 1988).
The actual burial ceremony practiced by the Rarámuri can be variable, with
the biggest contrast between Christian and non-Christian groups. During a
non-Christian burial family members and neighbors generally assemble at the
house, uncover the head of the deceased, and make crosses of incense smoke
over the body (Bennett and Zingg 1976; Kennedy 1996). The family speaks to
the deceased and encourages them not to return and frighten the family or
damage the crops or animals (Bennett and Zingg 1976; Kennedy 1996;
Lumholtz 1902). The family promises the deceased that they will provide food
and perform the required number of death fiestas (Kennedy 1996). The body is
then brought to a cave that contains the remains of other people who have
already been buried. The body and burial items are set down near the burial
cave with a fire kindled at the feet of the deceased. The body is then pushed
inside the cave along with the food and any other grave items. Once the body
and grave items are inside the cave is closed with stones and mud. After the
burial is finished, any individuals who carried the body are cured in a special
ceremony (Bennett and Zingg 1976; Kennedy 1996).
cave, where all the adult skulls were missing, as more likely the result of
witchcraft. In contrast, Beals (1973) suggests that the Rarámuri may have
practiced animal sacrifice but maintains that there is no indication of human
sacrifice, although it did likely occur among at least one cultural group in
Northern Mexico. There has thus far been no study that has demonstrated that
the Rarámuri practiced human sacrifice.
burials. Materials within the cave consisted of pottery, textiles, plant remains,
lithics, and faunal remains (Ascher and Clune 1960).
Another example comes from an unnamed burial cave reported by Pastron
and Clewlow Jr. (1974), although this cave was thought to be only 70–125
years old. The human remains in this cave indicated that multiple individuals
were interred and were placed in flexed positions. There was also evidence
suggesting that the heads of these individuals were facing toward the east,
which is a common burial practice. Both adults and subadults were represented
in the cave but, interestingly enough, no adult crania were present. All of the
cranial fragments that belonged to infants were bleached white, indicating that
they had been exposed to sunlight (Pastron and Clewlow Jr. 1974). While these
remains are from no earlier than the late nineteenth century AD, and are therefore
not contemporaneous with La Cueva de Dos Cuchillos, similar mortuary prac-
tices suggest some potential continuities with earlier behaviors or customs.
More recently, Walker (2006) investigated 13 burial caves in the Sierra
Madre Occidental. The dates of these caves ranged from AD 1099 to AD 1769
but the one cave that dated to approximately 1769 (AD 1720–1819) was the
only historic cave (Walker 2006). The burial practices observed by Walker
(Walker 2006) are consistent with the burial practices described in ethno-
graphic and ethnohistoric reports of the Rarámuri. For example, all of the
caves except one contained multiple individuals that were generally placed in
flexed positions. Evidence that some of the bodies were wrapped in mats was
found in some instances as well. Additionally, one of the caves contained
evidence for a fire. Grave goods in the caves included ceramics, corn, and
lithics (Walker 2006).
To date, very little skeletal evidence for violence has been identified in
archaeological assemblages in this portion of the Sierra Madre Occidental. It
is possible that violence was relatively rare in this region or that signs of
violence have been obscured by taphonomy. Alternatively, the lack of evi-
dence may be due to the paucity of archaeological investigations in this area.
Of the available archaeological publications, human remains reported have
been subjected to very few in-depth skeletal analyses. One exception, however,
is recent work by Walker (2006), who included modern bioarchaeological
analysis of the human remains from 13 burial caves. Walker (2006) provides
full bioarchaeological reports of the skeletal remains, including any evidence
for trauma. Of the 13 burial caves examined, two contained the remains of
individuals exhibiting perimortem trauma. One of these, Hedionda cave
92 Victims of violence?
6.6 Discussion
Veneration of the dead has been documented among multiple modern and
precolonial cultures. According to Duncan (2005), veneration can include
honoring certain deceased members of a community and/or helping the soul
Cheryl P. Anderson 93
of the dead journey to its final destination. Certain individuals can be selected
for this treatment, including leaders and those of religious significance. Ven-
eration can be complex to differentiate in the archaeological record and may
incorporate acts of violence (Duncan 2005). Several disarticulated processed
skeletal assemblages in the precolonial Americas have been interpreted as the
result of ancestor veneration (e.g. Duncan 2005; Pérez 2012a). In cultures that
practice processing of the deceased, body parts may become important sym-
bols and a source of comfort for the living (Pérez 2012a). An example of this
type of ancestor veneration is seen at La Quemada, which includes the disar-
ticulation and display of the bodies of ancestors in special burial contexts
(Nelson et al. 1992; Pérez 2012b; Pérez et al. 2008). Alta Vista, Chalchihuites
similarly contained disarticulated remains, primarily males, with cut marks and
perforated skulls (Kelley 1978; Nelson et al. 1992). Ancestor veneration was
considered a possibility during the analysis of the trauma and state of the
assemblage at La Cueva de Dos Cuchillos. Standard mortuary ritual, separate
from veneration of specific individuals, was also considered as an explanation.
Upon examination of the ethnographic and archaeological data on Rarámuri
burial practices, it seems unlikely that the perimortem trauma found on the
three individuals at La Cueva de Dos Cuchillos resulted from either standard
mortuary ritual or ancestor veneration. First, there are no other known cases of
chop marks reported, such as those found on burial 1–118, or neck fractures on
other contemporaneous Rarámuri burials. If this were a standard practice, even
for only select individuals, it would be expected to be more common. The
trauma on burial 1–118 is actually quite different from some of the reported
cases of veneration as the body of 1–118 does not appear to have been
dismembered and there is no evidence for removal of body parts. Also, this
individual was placed with the rest of the deceased community members, not
in a special location. Second, there are no reports in the ethnographic or
ethnohistoric literature that suggest that the Rarámuri ever processed the
remains of the deceased in any way that would lead to this type of trauma.
In contrast, the Rarámuri are fearful of the deceased and consider them to be a
threat to the living. The Rarámuri avoid contact with the body of the deceased
and do not wish to even be close to the body (Kennedy 1996; Merrill 1988).
For example, the deceased person is encouraged to leave the living alone and
any person who touches the deceased must be cured afterwards. Also, the
home of the deceased will be immediately abandoned by the family if they die
in the home (Bennett and Zingg 1976). This does not just occur in more recent
times, however, as Joseph Neuman in 1681 described that when a death occurs
in a dwelling, that habitation will be destroyed and never lived in again.
Additionally, in 1683 Juan María Ratkay also discussed similar behaviors,
writing that, after a death, the family of the deceased would move immediately
94 Victims of violence?
to another home and may even burn the old home (Pennington 1963). It
appears that, for the Rarámuri to encourage the deceased to leave them alone,
they quickly provide all the necessary things to help the deceased successfully
make the journey to the afterlife (Bennett and Zingg 1976). This process seems
to include a minimal amount of physical contact between the living and the
dead, and the placement of the bodies of the deceased away from the
community.
In contrast to the perimortem trauma, the commingled, disturbed state of the
remains is very consistent with reported Rarámuri burial practices and other
Rarámuri archaeological sites. This is likely an unintentional consequence of
the interment of multiple individuals over time and, according to the ethno-
graphic accounts, the Rarámuri may forget the location of previous burial spots
and will dig a grave on top of an older burial. Also significant for understand-
ing burial assemblages, the Rarámuri reportedly do not take or use bones of
their own deceased nor do they practice secondary burial (Merrill 1988). In
addition, there is not much variability in terms of burial treatments and all
members of a community appear to be treated similarly. This, combined with
the fear of the dead, suggests that the state of the assemblage may best be
explained by standard mortuary ritual.
6.6.2 Violence
Violence has been documented throughout human history and is perhaps one
of the most universal characteristics of human interpersonal relationships
(Martin and Harrod 2012; Walker 2001). Despite the long history of violence
and its prevalence in modern societies, however, it is not well understood
(Martin and Harrod 2012; Schröder and Schmidt 2001). While there are
different ways of defining violence, some ways of conceptualizing it include
the “assertion of power” (Schröder and Schmidt 2001: 2) or, as stated by David
Riches (1986: 8), “an act of physical hurt deemed legitimate by the performer
and illegitimate by (some) witness.” Similarly to contemporary societies, in the
past violence was likely important for demonstrations of power and for solving
disputes (Martin 1997). Violence is not just a reaction to outside factors,
however, but has complex cultural significance (Pérez 2012a). One of the
goals of this project was to determine whether La Cueva de Dos Cuchillos
provided direct evidence that violence affected at least some Rarámuri com-
munities during the late precolonial period.
Considerable bioarchaeological evidence for violence during the precolonial
period has been documented in the Americas (e.g. Kuckelman et al. 2002;
Martin et al. 2008; Osterholtz 2012; Pérez 2006; Turner and Turner 1999;
Cheryl P. Anderson 95
White 1992), but very little of this work has focused on the Sierra Madre
Occidental. Other than La Cueva de Dos Cuchillos, Hedionda cave and Cueva
Juárez present the only other known examples of potential violence at pre-
colonial Rarámuri sites. The evidence from these sites is significant, however,
in that the remains from these two caves are approximately contemporaneous
with the remains exhibiting trauma from La Cueva de Dos Cuchillos. It has
also been argued that the injuries on all three of these individuals could be
consistent with violence, possibly similar to ethnohistoric descriptions of
intergroup conflict in the region (Anderson et al. 2012).
In understanding the patterning of injuries on the remains from La Cueva de
Dos Cuchillos, comparisons with the mortuary practices of the Rarámuri were
critical. These practices generally include the use of burial caves, presence of
multiple individuals, grave goods such as food and other small items, evidence
for fire, and wrapping of the bodies. Because of this information, when
interpreting the human remains from this site, any signs consistent with these
burial practices would be considered normal and not indicative of violence.
For example, the burning that was observed on three individuals, two of whom
did not exhibit noticeable perimortem trauma, and one of whom had potential
perimortem breakage on the base of the skull, was ruled out as a sign of
violence. This is because the Rarámuri practice of lighting fires next to the
deceased could lead to accidental burning, although the extensive burning
found on one adult individual might still be unexpected. The presence of
multiple individuals was also ruled out as evidence for violence as this mortu-
ary pattern is standard for the Rarámuri cultural group and most of these
individuals did not exhibit any trauma. After determining that 14 of the 17
individuals in this cave did not demonstrate any signs of violence, the pattern
of injuries on the remaining three individuals were examined.
Out of the possibilities considered during the analysis, the perimortem
trauma patterns observed on three individuals from La Cueva de Dos Cuchillos
were most consistent with violence. The injuries on burial 1–118, for example,
consisted of multiple chop marks made by a sharp implement. This included
blows to both the front and back of the individual (Anderson et al. 2012). These
sharp force wounds could have been caused by one of the weapons described in
the ethnohistoric record and are unlikely to be accidental. The neck fractures on
the other two individuals could also indicate violence, although this is less
definite. The type of fracture observed on these two individuals, the teardrop
fracture, is very uncommon (Korres et al. 1994) but when it occurs it is the
result of severe head trauma (Galloway 1999; Shapiro et al. 1973). While
accidental falls could potentially cause this kind of head trauma, it seems
suspicious that two individuals from the same community would suffer the
same type of fall and receive the same type of neck fracture. The type of trauma
96 Victims of violence?
that leads to teardrop fractures could be similar to the cause of the head trauma
observed at Hedionda cave and Cueva Juárez (Anderson et al. 2012). Unfortu-
nately, it was not possible to associate these vertebrae with any of the other
remains, preventing examination of the entire individual in these two cases.
6.7 Conclusion
the use of multiple types of evidence provides rich contextual data that allow for
better understanding of the skeletal data and their behavioral implications.
Acknowledgments
This research would not have been possible if not for the careful documenta-
tion, excavation, and curation of these remains by the late Drs. Richard and
Sheilagh Brooks. The author would also like to thank Dr. Debra Martin for her
guidance and support. Funding for this project was provided by the University
of Nevada, Las Vegas Graduate and Professional Student Association grant
and a Department of Anthropology Edwards and Olswang scholarship.
References
Anderson, C. P., Martin, D. L. & Thompson, J. L. (2012). Indigenous violence in
northern Mexico on the eve of contact. International Journal of Paleopathology,
2, 93–101.
Ascher, R. & Clune, F. J. (1960). Waterfall Cave, Southern Chihuahua, Mexico.
American Antiquity, 26, 270–4.
Bass, W. M. (2005). Human Osteology: A Laboratory and Field Manual, 5th edn.
Columbia: Missouri Archaeological Society.
Beals, R. L. (1933). The Acaxee: A Mountain Tribe of Durango and Sinaloa. Berkeley:
University of California Press.
(1973). The Comparative Ethnology of Northern Mexico before 1750. New York:
Cooper Square Publishers Inc.
Bennett, W. C. & Zingg, R. M. (1976). The Tarahumara: An Indian Tribe of Northern
Mexico. Glorietta: The Rio Grande Press, Inc.
Berryman, C. (2007). Captive sacrifice and trophy taking among the ancient Maya. In:
Chacon, R. J. & Dye, D. H. (eds.) The Taking and Displaying of Human Body
Parts as Trophies by Amerindians. New York: Springer US, 377–99.
Brooks, S. & Suchey, J. (1990). Skeletal age determination based on the os pubis: a
comparison of the Acsádi-Nemeskéri and Suchey-Brooks methods. Human Evo-
lution, 5, 227–38.
Brooks, S. T. & Brooks, R. H. (1990). Skeletal Remains from La Cueva De Dos
Cuchillos, San Francisco De Borja, Chihuahua, Mexico. Para Conocer Al
Hombre: Homenaje a Santiago Genovés a 33 Años Como Investigador En La
Unam. Universidad National Autónoma de México, 261–71.
Brooks, S. T. & Brooks, R. H. (n.d.) Unpublished Site Report.
Buikstra, J. E. & Mielke, J. H. (1985). Demography, diet, and health. In: Gilbert, R. I. &
Mielke, J. H. (eds.) The Analysis of Prehistoric Diets. Orlando: Academic Press,
359–422.
Buikstra, J. E. & Ubelaker, D. H. (eds.) (1994). Standards for Data Collection
from Human Skeletal Remains. Proceedings of a Seminar at the Field Museum
98 Victims of violence?
7.1 Introduction
In early May of 2013, three young women were rescued from a horrific scene
of modern-day captivity and enslavement in Cleveland, Ohio. Taken hostage
and held captive for approximately 10 years, the released women revealed
details about their abduction and subsequent physical beatings, rapes, restraint
with chains and ropes, verbal assaults, pregnancies, forced miscarriages,
periods of starvation, confinement to small spaces, and denial of access to
medical care through daily violent acts of subordination and exploitation by a
single male (accessed on May 10, 2013, on page A21 of the New York
Times edition with the headline: Officials, Citing Miscarriages, Weigh Death
Penalty in Ohio Case. www.nytimes.com/2013/05/10/us/cleveland-kidnapping.
html?_r=0). As forensic anthropologists and bioarchaeologists, we wondered
what story their bones might tell that could provide an empirical reality to these
kinds of violence visited upon the women. While this kind of information may
be forthcoming in the future from radiography or CT scans, it is clear from
their testimonies that the bones may reveal the effects of periodic starvation,
misaligned broken and healed bones, healed cranial depression fractures,
unusual patterns of muscular markings (from either habitual use or no use),
and a histological signature of poorly mineralized bones. These physical
assaults may be the tip of the iceberg in terms of other kinds of psychological
and emotional damage from being stripped of their identities and their
humanity.
In a sweeping and grand overview of slavery in world prehistory, Patterson
(1982) provides ample evidence that culturally sanctioned captivity, particularly
Bioarchaeological and Forensic Perspectives on Violence: How Violent Death is Interpreted from
Skeletal Remains, ed. D. L. Martin and C. P. Anderson. Published by Cambridge University Press.
© Cambridge University Press 2014.
103
104 Signatures of captivity on human remains
of women and children, has been found to occur in almost every ancient and
historic society since the Neolithic and the domestication of plants and
animals. He writes persuasively about the ways that captured humans come
to be owned as personal property, and the underlying power structures that
keep these kinds of systems in place. He notes that, while males were some-
times taken as captives for ritual purposes, it was females who were the most
prized, not only for sexual purposes, but also as farm hands and laborers
(Patterson 1982: 179). Females were also more easily assimilated into the
captor societies, and, if their children were also abducted, they would resist
captivity even less.
Thus, while captivity is well documented for early city-states, much less has
been written about non-state societies. Cameron (2011) notes the ubiquity of
captives and the central role that they have played in both cultural and
economic terms. She documents for many cultures on a global scale the ways
in which female captives were subordinated and often labored at craft produc-
tion and other activities that demanded skill and hard work. Females as
currency and bodies as wealth is a common theme in much of the writing
about the ways that captivity and slavery operate within economic systems of
owned property, purchasing power, and debt (Peebles 2010).
For pre-state indigenous groups in North America, Cameron (2008; Cam-
eron in press) provides an extensive review of warfare, raiding, abduction, and
captivity of primarily females and children across the Americas. Using ethno-
historic, archival, and archaeological sources, she provides compelling data
that suggest the indigenous systems of warfare and captive-taking that had
been in places for centuries before contact with the Spanish were quickly
usurped and exploited by the early colonists. Tung and Knudson (2011) have
likewise documented the role of warfare and captive-taking in precolonial
groups in South America.
What all of these reviews of captive-taking in non-state and state-level
ancient societies have in common is the underlying and institutionalized
practices of violence that keep the cycle of raiding and captive-taking in place
over hundreds of years. Captives are by definition used without their consent
as part of these larger systems of social control. How can captives and the
violence used to subordinate them be read on the skeletonized remains?
Interpreting captive violence in bioarchaeological or forensic settings is
always challenging because it must be reconstructed with evidence pieced
together from the human remains as well as all other available lines of
evidence. While reconstructing what was done to the body by examination
of the skeletonized remains has limits, getting at the ultimate meaning and
motivation is even more difficult. Nevertheless, as the chapters in this volume
demonstrate, there is much that can be learned by forensic anthropologists and
Ryan P. Harrod and Debra L. Martin 105
bioarchaeologists about the meaning and even the motivations with careful and
integrative analyses. Peebles (2010: 233) implores that “. . . [A]nthropology
may be uniquely situated to insist continually on the relationship between . . .
debt and bodily punishment.” Violence is at the core of capturing, subduing,
subordinating, and enforcing desired behaviors for those unfortunate enough to
become captives.
Using ethnohistoric and archival sources, Barr (2005), Brooks (2002), and
Gutiérrez (1991) have documented widespread forms of slavery at contact at
the Pueblo borderlands in the historic Southwest, with captive women and
children at the center of a complex web of trade, prestige, and cultural
exchange. They suggested, but did not have data to support, that systems of
raiding and capture of Pueblo women were in place long before the colonial
period.
With the extensive study of a series of ancestral Pueblo burials of women
exhibiting signs of violence and pathology from La Plata, evidence was
provided that Barr, Brooks, and Gutiérrez were correct. Captives were identi-
fied at the La Plata archaeological sites near Farmington, New Mexico dating
to around AD 1100. This study is a follow-up to and expansion of previous
studies published by the authors on this group of females from La Plata
(Martin 1997, 2008a, 2008b; Martin and Akins 2001; Martin et al. 2001,
2008, 2010).
The current research expands upon the original data from the La Plata
archaeological sites to demonstrate the presence of captives as a more wide-
ranging phenomenon in the ancient Southwest, especially during a period of
cultural transformation (AD 850–1150) dubbed the Chaco Phenomenon.
Harrod (2013) has examined many more skeletal collections from this period
and has found other cases of captivity.
The Chaco Phenomenon is a large regional complex characterized by trade
and shared architecture, and a system of functional and symbolic roads that
developed during the Pueblo II and early Pueblo III periods (c. AD 850–1150)
(Irwin-Williams 1972; Sebastian 1992; Washburn 2011). This study further
expands on the original La Plata dataset by considering the presence of males
and subadults who possess biological indicators of captivity and subordination
as well, suggesting that it was not just females who were taken captive in the
Southwest context.
Demonstrating that there was a system of captivity and exploitation in the
past requires the identification of individuals within a larger segment of
106 Signatures of captivity on human remains
The La Plata females provided a rich source of data that included multiple lines
of evidence that some of them were captives. As outlined more explicitly in the
following section, data from the human remains provided one kind of pattern-
ing, but other patterns emerged when the archaeological context was examined.
108 Signatures of captivity on human remains
The use of the term archaeological in this instance refers to the context in
which the individuals are situated, including the mortuary context (i.e. burial
location, body position, and presence or absence of grave goods), as well as the
overall spatial context of the site itself (i.e. its location on the landscape, its
place in time, and its complexity or simplicity compared to surrounding sites).
By looking at the entire archaeological context, it is possible to start to
ascertain the ways in which individuals that appear to be captives differed
from other individuals at that site and across the region. The interpretation of
these multiple lines of evidence (skeletons, mortuary context, site) from the
archaeological context was enhanced by ethnohistoric and archival research on
captivity in the past (Brooks 2002; Patterson 1982; Ruby and Brown 1993).
The importance of these ethnohistoric accounts is that they provide some first-
person accounts of what captivity involved or written records of how captivity
was initiated and maintained. Using multiple lines of evidence in reconstruct-
ing any activity having to do with trauma and violence is crucial. While
archaeology provides the context, the importance of bioarchaeological data
is that the body records the accumulated life history. The value of analyzing
human skeletal remains is that the quality of an individual’s life in terms of
exposure to violence, overall health, and level of activity is recorded on the
bones. Prior bioarchaeological work has revealed that, oftentimes, individuals
who have lower social status are at greater risk of traumatic injury, health
disparities, and degeneration of the musculoskeletal system as a result of
strenuous labor (Blakey 2001; Corruccini et al. 1982; Harrod et al. 2013;
Rankin-Hill et al. 2000). When trauma and these other indicators of stress
accumulate within a lifetime on the skeleton, they reveal much more infor-
mation than when indicators of pathology and stress are viewed in isolation.
The approach to analyzing the burials recovered from each site was to identify
the basic identity of each individual, which involves assessing changes in
health, nutrition, activity, and trauma (Harrod 2013: 64). “These data were
essential because they revealed differences between individuals at each site,
which allowed for a more comprehensive understanding of how and why
violence and social inequality, a ubiquitous yet poorly understood human
behavior, existed in the Puebloan world” (Harrod 2013: 70). The importance
of reconstructing the identity in this project is that it provides a profile of each
individual that can be used to identify the coercive and violent activities that
captives could be subject to that would result in changes to the skeleton
associated with this activity (Table 7.1).
Ryan P. Harrod and Debra L. Martin 109
The data for this project were obtained from the excavation of two commu-
nities in the La Plata River Valley, along with the analysis of previously
excavated skeletal collections housed at the American Museum of Natural
History (AMNH). The burials analyzed in this study included only those sets
of human skeletal remains that were identified as individual burials, so com-
mingled and poorly preserved remains were not included.
The individuals identified as captives in this project are associated with the
sites of La Plata, Kin Bineola, and Aztec Ruins. The importance of each of
these sites is that they are outliers or satellite communities associated with the
Chaco Phenomenon, described earlier. The site referred to as La Plata in this
project actually consists of two sites, Barker Arroyo and Jackson Lake, that
were excavated between 1988 and 1991 (Martin et al. 2001). These sites are
dated to AD 1000–1200 and are located in an area of the Four Corners that is
described as being fertile and a veritable “bread basket” (Toll 1993). The site
110 Signatures of captivity on human remains
of Kin Bineola is the site closest to the center of the Chaco Phenomenon. This
site is the second largest of the satellite communities, second only to Aztec
Ruins (Lekson 2007: 38). Finally, the last site is Aztec Ruins, which consists
of three independent communities. Only one of the communities is of interest
in this study and that is the site of West Ruin or Aztec West because it is from
where the burials were excavated (Morris 1924).
7.4.1 La Plata
The data on violence, trauma, and pathology from the La Plata site have been
published in several venues and will only be briefly summarized here (for
detailed accounts see Martin 2008a, 2008b; Martin et al. 2001, 2010). Of the
66 burials retrieved from the two La Plata sites, 43 were complete enough to do
thorough analyses. One subadult had a healed postcranial fracture. Three males
had healed fractures in a rib, a hand, and a toe bone. Nine females had multiple
and serious healed trauma in the form of cranial depression fractures, and face,
nose, and rib fractures. There was vertebral and pelvic trauma and displace-
ment in several of the females. In addition, these females had the most severe
cases of infection and nutritional anemia. They also exhibited more marked
lesions related to extreme enthesis development on some of the upper and
lower extremities. Each of these females were thrown and buried in abandoned
pit structures without grave goods, which is in direct contrast with females
without trauma and all other males. Isotopic data revealed that these females
were not non-local, but Pueblo women from other areas within the region.
From these multiple indicators of stress markers and trauma, a profile of
raiding for women and abduction was constructed (Martin et al. 2010).
A modified version of this profile is shown in Table 7.1, presenting a more
concise set of indicators for the bioarchaeological signature of captives. The
skeletal and mortuary data on the subset of La Plata women who experienced
interpersonal violence and other stressors match many, if not all, of the
indicators presented in this table (see Martin et al. 2008a for a full description
of these multiple indicators of stress).
One of the more striking patterns on the La Plata females was the presence of
well-healed cranial depression fractures. Walker (1997) presented a detailed
examination of historic patterns of violence in wife-beating and found there to
be a distinctive pattern of hitting women on the head. Hitting individuals on the
head is the most expedient way to subdue but not cause death. It often renders
individuals unconscious for some period of time and, when they awaken, they are
disoriented, in pain, and often unable to make decisions or communicate clearly.
This condition renders the victim relatively easy to subordinate and control.
Ryan P. Harrod and Debra L. Martin 111
The La Plata females with trauma all had some form of single or multiple
cranial depression fractures. In one study (Martin et al. 2008), a neuropatholo-
gist examined the head wounds and reasoned that these blunt force trauma
blows to the head would have likely led to mild or moderate traumatic brain
injury (TBI). There are a multitude of side effects associated with even mild
TBI, such as cognitive, motor, and speech deficits, and fatigue, irritability, and
migraine headaches. TBI can also lead to poor concentration and blurred
vision, the inability to process information, and emotional instability. Given
the nature of the healed cranial depression fractures on the La Plata females, it
is highly likely that they survived the original blows to the head but suffered
from any or all of the behavioral sequelae or abnormal bodily conditions of
TBI. It was also discovered that individuals who had one trauma also had other
pathologies and trauma in various stages of healing (Martin et al. 2001). For
example, one female aged 30–35 survived a crushing blow to the top of her
head that affected three separate regions of the cranium, and healed with an
uneven and problematic knitting together of the bones. Given the location of
the injury, she would have had problems with motor control and emotions,
balance, and general coordination. She also had a trauma-induced partial
dislocation of her pelvis, perhaps sustained in a fall. She had osteoarthritis at
this site as well. This is likely indicative of injury recidivism, the pattern of
having one problem from trauma or pathology leading to additional problems.
Kin Bineola is a large Pueblo site located approximately 11 miles south of the
center of Chaco Canyon. This site is less understood than La Plata because the
burials from the site were recovered by Hrdlička at the turn of the nineteenth
century, which has led to ambiguity in the dates and mortuary context. All that
is known about the mortuary context is that the burials were recovered from a
location outside the Pueblo, about one-third of a mile away (Akins 1986: 165).
Additionally, the dates for the burials are not well understood, with the
exception of a single burial that was recently dated to AD 891–1147 (Coltrain
et al. 2007: 306). The rest of the burials are assumed to be from the Pueblo II
period based on the fact that archaeological reconstruction of the site itself,
such as tree-ring dates, indicates that the site was built during the Pueblo II
period (Bannister et al. 1970; Marshall et al. 1979).
At the site of Kin Bineola, like at La Plata, the rate of violence against
women was very high. Seven of the eleven (63.6%) adult females had trauma,
in contrast to only one of five (20.0%) males and two of the fourteen (14.3%)
children having evidence of trauma. In a recent study (Harrod 2013), the rate
112 Signatures of captivity on human remains
of trauma among women at Kin Bineola was compared to that at other sites in
the region during the Pueblo II, and it was found that the occurrence of trauma
at Kin Bineola was significantly higher than at the other sites. The site of La
Plata is the only other site with a comparable rate of trauma. Being that Kin
Bineola is one of the largest sites in the region, outside of Chaco Canyon, it has
been suggested that it may have been an important satellite community, so it is
possible that the women with evidence of violence were captives in a system of
labor exploitation.
Aztec Ruins is a slightly later site that dates to between the early to mid Pueblo
III period. It is the largest pueblo outside of Chaco Canyon (Brown et al. 2008:
235). Unlike La Plata and Kin Bineola, the rate of trauma among females at
Aztec Ruins is not noticeably higher than trauma among males. Instead, it
appears that there may be select individuals of both sexes that have indicators
of possibly being captives.
First, there is a young adult female at Aztec Ruins buried in Room 182 who
has both cranial and postcranial trauma that is indicative of having suffered
repeated injury (i.e. injury recidivism). According to Morris (1924: 195) she
was in a tightly flexed position. Both this individual and the one interred
directly above her in Room 135 were noted by Morris (1924: 173, 195) to be
individuals that were short in stature and upon burial wrapped in feather cloths,
with no evidence of grave goods.
There is a second young adult at Aztec Ruins who has multiple indicators of
potential captivity on the body. Although Morris (1924: 183) suggests that this
individual is “apparently female,” analysis by Harrod (2013) and Martin and
Stone (2003) suggest that this is likely a developing male. Despite there being
no evidence of a cranial depression fracture, he has two healed broken ribs, the
right hip appears to have been dislocated, asymmetry of the upper arms where
the left humerus is noticeably smaller, and there are degenerative changes of
the lower spine. Analysis of the entheseal development seems to suggest that
he has moderate buildup for a young adult, which could indicate a heavier
workload during his lifetime.
Finally, there is an individual that was recovered from a kiva that may have
been a captive at Aztec Ruins. This individual is only represented by cranial
remains and, according to Morris (1924: 193), the head appears to have been
thrown into the structure with other refuse or trash. Based on robust morph-
ology, this individual appears to be a probable male; however, without the
Ryan P. Harrod and Debra L. Martin 113
Many of the individuals in these studies that are noted to be captives have
multiple traumatic injuries or trauma associated with other pathological condi-
tions. The importance of these overall findings is that these individuals all
demonstrate a pattern of injury recidivism and comorbidity factors that suggest
a life history fraught with hazardous activities, interpersonal violence, and hard
labor.
Looking at individuals with multiple traumatic injuries provides a method
for identifying injury recidivism as a pattern of re-injury and related patholo-
gies. The presence of individuals with both cranial and postcranial trauma
provides one more insight into the role that violence played among the
ancestral Pueblo. Thus, all cranial injuries were evaluated with consideration
of postcranial trauma and were scrutinized for patterns that may have repre-
sented a single injury event, such as falls from heights (Galloway 1999;
Lovell 1997, 2008).
Injury recidivism is not limited to trauma alone, however; it is also
important to look at individuals who have trauma in association with evi-
dence of activity-related changes and pathological conditions. Similar to
repeated trauma, the presence of trauma and other health-related changes
may indicate that some people within a particular society were a subclass
or subaltern group who worked harder and were at more risk of being
targeted for violence.
In terms of activity-related changes, these studies all included analyses of
both robusticity differences and entheseal development. For both robusticity
and entheseal development, which are age-dependent phenomenon, individ-
uals were compared by age-specific categories. The pathological conditions of
114 Signatures of captivity on human remains
interest in this project were primarily those that are indicative of nutritional
anemia conditions such as cribra orbitalia, porotic hyperostosis, and infections
such as periosteal reactions.
The importance of understanding the process of injury recidivism is that
severe head trauma or TBI may have predisposed people to other types of
injury. Using methods established by Judd (2002) and insights gained from a
recent project with modern Turkana populations in Kenya (Harrod et al. 2012),
this project was not only focused on identifying cranial trauma but attempted
to understand the consequence of a severe head injury in the form of TBI. TBI
is essentially severe, long-term damage to the brain that causes cognitive
deficiencies. The type of cognitive impairment that develops depends on
where the damage to the brain occurs.
For example, according to Stern (2004: 179), damage to the frontal or
temporal lobes often results in personality or social dysfunctions. The Centers
for Disease Control also report a number of problems that arise, and these
include a decrease in attention and focus, reduced emotional control (e.g.
aggression and impulsivity), memory problems, as well as a deterioration of
verbal and physical abilities (Centers for Disease Control 2010). TBI is a
worldwide problem as “head injuries account for the majority of all trauma-
related deaths; and at least 6.2 million people in Europe and 5.3 million in the
United States live with disability, impairment, or handicap from TBI”
(Vagnerova et al. 2008: 206). Well-documented cognitive side effects from this
type of injury include cognitive, motor, and speech problems, migraines and
dizziness, poor concentration, emotional instability, increased aggressiveness
and antisocial behavior, and amnesia (Centers for Disease Control 2010; Cohen
et al. 1999; Leon-Carrion and Ramos 2003; The Brain Injury Association of
Wyoming 2004). Aside from cognitive impacts, TBI can also have social
effects that include the increased likelihood of re-injury (i.e. injury recidivism),
imprisonment, or of becoming homeless (Centers for Disease Control 2010).
The increased risk of future injury is due to the fact that the original TBI,
whether it was mild, moderate, or severe, causes lingering neurological and
behavioral side effects (Bazarian and Atabaki 2001; Glaesser et al. 2004;
Hwang et al. 2008; Stern 2004). This increased risk of repeated injury has
been documented for ancient populations as well (Judd 2002; Martin et al.
2008). Although TBI may be one reason for recidivism it is not the only
explanation, as the culture in which an individual was raised or social learning
(Bandura 1973) is also a probable factor for why people exposed to violence
tend to accrue more injuries throughout their lifetime. For example, among
children it has been well documented that the exposure to violence has an effect
on the level of violence in which one is involved as an adult (Wilson and Daly
1995). Additionally, it may be entirely possible that a person’s personality
Ryan P. Harrod and Debra L. Martin 115
makes them more likely to engage in risky behavior or more likely to be at risk
as a target of violence.
Regardless of the cause of injury recidivism, there is a general pattern to
how an individual is impacted (Figure 7.1).
From the descriptions of modern day captivity in the news during the spring
of 2013, the rescued captives in Cleveland, Ohio have captured the attention
of media outlets and US citizens who wonder how this could have happened
right under their noses. It can only be hoped that this isolated case of female
captivity opens up a broader look at the enormous scope of captivity and
slavery today. Both Bales (1999: 256) and Bowe (2008: xvii) note that,
although slavery is officially outlawed in every nation state, there are more
enslaved people today than at any other time in history. Most sources
place the estimated number of captive slaves today at 20–30 million (www.
freetheslaves.net/SSLPage.aspx?pid=304).
With bioarchaeological and forensic data, the experience of captivity and
enslavement can be better understood. These victims of a particular kind of
violence meant to subdue and subordinate (but not initially kill) have a story to
tell that is part of the larger understanding of the ways that humans are
dehumanized and used for another’s purposes. In many of these cases, as in
Cleveland, Ohio, it happens right in front of us. Young girls are abducted and
sold into sexual slavery; young men, women, and children are forced to work
in substandard factories to earn substandard wages.
116 Signatures of captivity on human remains
Bioarchaeological data in particular offer insight into those that survived the
initial blows to the head and acts of violence meant to subdue and subordinate.
It is crucial to examine the individuals who survived in the research agenda of
how captivity and enslavement are produced and reproduced in different times
and places. While the forensic anthropologists can focus on deadly violence,
this project focuses on non-lethal violence used in very specific ways to keep
humans subordinate and captive. This project is a small step toward untangling
one type of violence related to systems of justice that fail to rectify the
asymmetrical relationships that exist and that provide places where captivity
can happen right under our noses.
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8 Classic Maya warfare and skeletal
trophies: victims and aggressors
rebecca storey
8.1 Introduction
The Classic Maya civilization of Mesoamerica (c. 250–1050 CE) was one
of the most important of the pre-Columbian New World because of
its writing and highly developed iconography. The increased study in the
latter decades of the twentieth century of the archaeological and icono-
graphic evidence, plus decipherment of the Maya writing glyphs, has
revealed a society where the rulers and elites were much concerned with
warfare, especially during the Late Classic (600–900 CE). Of course, this
record only details the uppermost stratum of Maya society and usually only
the victors. This means that there are many basic questions still remaining
about this warfare (Webster 1998), including the size and tactics of battles
and all the consequences of victory or loss. However, it is clear that warfare
was initiated and fought by rulers and elites, as an important aspect to
successful governance. From numerous depictions in sculptures and paint-
ings, it was important for rulers and their elite warriors to capture other
royals and elite warriors. These individuals were sacrificed to illustrate
the power of the victors, as well as perhaps to keep cosmological order
(Webster 1998). The art also shows skeletal heads made into masks and
other skeletal parts as part of the regalia. Such trophies have been found
archaeologically, and in many, although not all, examples they are clearly
linked to individuals. Thus, we probably have both the aggressors and
victims linked.
Bioarchaeological and Forensic Perspectives on Violence: How Violent Death is Interpreted from
Skeletal Remains, ed. D. L. Martin and C. P. Anderson. Published by Cambridge University Press.
© Cambridge University Press 2014.
120
Rebecca Storey 121
Excavations of more modest-sized sites in the middle and lower reaches of the
Sibun Valley, Belize, indicate that these settlements survived the period of
decline and abandonment in the adjacent Petén area (part of the famous Classic
Maya collapse) and thrived during the Terminal Classic period (800–950 CE).
This late fluorescence appears to mirror the rise and historical trajectory of
sites in northern Yucatán, such as Chichén Itzá, which were also to be
abandoned by the eleventh century CE in the last wave of the Classic Maya
collapse. Fueled by the growing hegemony of the north, the coastal Caribbean
trade network assumed an increased importance (Masson and Mock 2004).
Location on the Sibun River would allow sites to take advantage of this
increasing trade.
At the mid-valley site of Pakal Na, there is evidence of this late fluorescence
and coastal interaction, and the influence of the important site of Chichén Itzá.
Within Structure 130 (the largest at the site), an elaborate mortuary deposit
intruded into the eastern (front) central axis of this elongated platform
(Harrison-Buck et al. 2007). Both the quality and nature of the grave offerings,
including evidence of postmortem body processing and the extended period
over which the mortuary ritual occurred, indicate that the central individual
(Burial 1-A) was of high rank and probably a prominent and successful
warrior. The style and content of grave goods again point to northern influ-
ence, likely stemming from Chichén Itzá.
The large burial pit at Pakal Na measures roughly 1.3 m wide, 3.0 m in
length, and over 1.0 m in depth (Figure 8.1). The burial includes a total of six
individuals: a primary interment (1-A), who was accompanied by the partial
remains of four other individuals, who are represented by three discrete
clusters of disarticulated remains (1-B, 1-C, 1-D, and 1-E), plus an individual
represented by a carved human skull mask. Most appear to be male and older
than 35 years of age (the sex of one individual is undetermined); the primary
interment (1-A) was probably over 60 years of age at death and possibly close
to 80 years.
Burial 1-A was laid in an extended, supine position, with his legs crossed.
A robust individual, the old male showed pronounced muscle attachments on
the shoulder girdle and a prominent linea aspera of the femur. Thus, an active
lifestyle is indicated, which might be expected of a successful leader and
warrior. The skull of Burial 1-A had been removed and replaced with an
inverted bowl. The left arm and right forearm were also missing.
The disarticulated remains of Burial 1-B were located just east of 1-A.
Burial 1-B included a skull with atlas vertebra and pieces of the left shoulder.
Considerable wear on the teeth (one drilled for an inlay) and the closure of
122 Maya wafare and skeletal trophies
Figure 8.1. Plan Map of Burial 1, Pakal Na. Skull mask was in the Burial 1C skeletal
cluster. (Reproduced with permission of the Xibun Archaeological Research Project.)
Drawing by K. Acone and S. Morandi, reprinted with permission.
Rebecca Storey 123
some sutures indicate that Burial 1-B was an older adult, probably the oldest of
the secondary interments. The morphological features of the skull suggest a
more gracile male, indicating that the skull probably did not belong to the 1-A
interment. Drilled jaguar teeth and a deposit of cinnabar 5.0–10.0 cm thick
found over an area 20.0 cm diameter were associated with this skull.
Burial 1-D, located just north of 1-B, may be part of the 1-B individual, but
there is a clear separation between these two bone clusters (Figure 8.1). Thus,
1-D has been treated as a separate person. Burial 1-D consists primarily of arm
and leg bones with few other skeletal elements and they appear to have been
scattered, rather than bundled. The robusticity of these elements indicate that
this is also a male, but they also do not show any cortical bone loss that might
indicate an older individual like 1-B.
The Burial 1-C deposit, like 1-D, did not appear bundled, but rather was a
collection of bones with associated grave goods that had been placed on an
earthen shelf on the eastern side of the mortuary pit. At first, this was
considered to be another individual, but the analysis indicated that the skeletal
elements present were exactly those missing from Burial 1-A. Other human
remains within the 1-C deposit included a left arm and partial shoulder girdle,
most of a right forearm, and parts of the cervical vertebrae. Comparison of this
left humerus with the right humerus of Burial 1-A was sufficient to indicate
that these elements belonged to Burial 1-A, and to attribute all to that individ-
ual. There was no separate 1-C individual. There was no skull modification,
but two upper anterior teeth had been drilled for inlays that were not present at
the time of excavation. Because of the position of the forearms, some articula-
tion might have been still present when these were removed and then deposited
here, so the removal and redeposition occurred not too long after death. There
was also a cluster of six teeth, mostly molars and premolars, from another
individual (Burial 1-E). No cranial fragments could be linked to this individ-
ual, so it appears to be a deposit solely of teeth from a middle-aged to an older
individual, based on tooth wear. Sex is undetermined.
Mortuary ritual surrounding the main interment (1-A) included the burning
or smoking of the deceased, which likely included torching a wooden litter
upon which the old male had been placed. Charcoal was scattered throughout
the base of the pit, particularly under the lower legs of Burial 1-A where a
dense deposit of charcoal 15.0 cm thick had accumulated on top of a bed of
large sherds from a red-neck, striated olla (the sherds also were blackened and
coated with charcoal residue). The bones of the focal individual bear evidence
of smudging and scorching from smoke, although the bone is well preserved
and is not calcined as it would have been if cremated. A charcoal sample
(AA55938) collected from the burned wood beneath the legs of the primary
interment yielded a 2-sigma calibrated radiocarbon range of 687–959 CE.
124 Maya wafare and skeletal trophies
Figure 8.2. The surviving pieces of carved skull mask, Pakal Na.
Figure 8.3. Close-up of mat pattern on skull mask with defleshing marks visible.
Rebecca Storey 127
Figure 8.4. The carved mandible of skull mask. Cartouche and cut marks visible.
cartouches that appear to contain the same imagery are visible on the sides of
the cranial portion of the skull mask, along the edge of the mat motif. This
avian and canine or feline imagery is likely analogous to the paired images of
jaguars and eagles found in Terminal Classic iconography at Chichén Itzá,
such as the images on the Tzompantli or Temple of the Skulls and the adjacent
Platform of the Eagles, where both animals are seen devouring sacrificial
human hearts (Harrison-Buck et al. 2007). Again, this illustrates the focus of
the Terminal Classic Pakal Na site towards the northern Yucatán capital and
most powerful site of the period.
The mandible of the Pakal Na skull mask was drilled in several places along
the inferior margin (Figure 8.4). Feathers or other decorative elements could
have been attached to the mask, or the mandible could have been attached to the
skull and worn around the neck of the warrior, presumably by the individual
who had claimed the life of the captive. According to Hirth (1989), trophy heads
validated a warrior’s capture of a sacrificial victim and accorded him elevated
status through successful participation in warfare. With evidence of foreign
connections and martial prowess, it is no surprise that the focal burial – an older
male – received elaborate mortuary treatment upon his death. During the Late
Classic period, skull masks as burial offerings and extended mortuary ritual
involving elaborate body processing, such as the smoking and painting of
bones, appear limited to high-ranking individuals and members of royal
128 Maya wafare and skeletal trophies
families (Storey 2005). Such royal treatment has been documented for the ruling
elite at a number of large Classic Maya centers, including Copán (Storey 2005),
Piedras Negras (Fitzsimmons 1998), and Caracol (Chase and Chase 1996). The
Pakal Na mortuary facility, located at a modest-sized Maya site, provides
information on changes in sociopolitical organization during the Terminal
Classic period, when successful warriors even in peripheral settlements might
be accorded a status equal to rulers in the earlier larger centers.
The northern-style ceramics and iconography associated with an important
deceased warrior and ruler of Pakal Na may indicate a materialization of an
allied northern relationship. The increased conflict and warfare in the Terminal
Classic is expressed through the inclusion of a skull mask suggestive of
captive-taking in the burial of the high-status male at the site of Pakal Na.
The Sibun Valley was a strategic production area for cacao, a prestige drink,
and much valued resource in the long-distance trade (McAnany et al. 2002),
so the evidence of elite wealth and elaborate mortuary treatment here is really
not surprising.
Copán was one of the major centers of the Late Classic Maya and was aban-
doned during the Terminal Classic. Extensive excavations have been conducted
at the site for the past 30þ years in both the central Acropolis, which was the
domicile and ritual space of the ruling dynasty, and in residences of the
neighborhood of Las Sepulturas, 1km east of the Acropolis. Both the Acropolis
and elite residences have evidence of skeletal trophies, which is not surprising
as it was probably expected of all able-bodied elite males that they partake in the
wars of their polities. One elite compound, 9N-8, was almost completely
excavated, containing 10 patios and over 50 structures. This was clearly the
residence of an important elite lineage that had clear links to court positions with
the royal dynasty at the Acropolis (Webster 1989). The main patios here were
A and B, the former with sculpture and a carved bench in the principal building.
Interestingly, it was in a subsidiary patio, Patio D, that a skull mask was found;
this was the only such trophy found at this residence. The individual was a
young, gracile male, but clearly male by morphology, with the skull mask lying
on his chest. This was the only grave offering with this individual, who was
buried under the staircase in front of a large and centrally placed residence, a
position of honor. He did have moderate cranial modification and mesial
notches on the mandibular central incisors. Such dental and cranial modification
is found with many, although not all, individuals in the 9N-8 residence and
probably, in my estimation, indicates elite or noble status.
Rebecca Storey 129
Figure 8.5. The skull vault of skull mask, with polished edge and drilled holes.
The skull mask had been cut just beyond the coronal suture, with the edge
polished and holes drilled for suspension (Figure 8.5). The cut went inferior
between the temporal fossa and the mastoid. The fossa is also drilled, so that
the mandible, drilled at the tops of the rami, could be suspended from the
mask. The mandible also had a series of holes at the inferior border (Figure
8.6), probably so that decorations such as feathers could be attached. There are
also at least eight holes drilled in the vault, and probably two more lost through
lack of preservation, which may be more than was needed to suspend it or tie it
to the face as a mask. It is possible that some of these holes were also for
feathers or other decoration. The face was present, but in too many pieces for
reconstruction. The individual was male, probably slightly older than the
“owner,” but elite status was indicated by the drilled and inlaid (probably
pyrite?) maxillary central incisors. While the main interment does not seem
robust enough to be a successful warrior, the skull mask is, as expected, from
an important captive. There is no reason to think that the aggressor and the
victim are not linked here; it obviously was important enough to the main
interment that it was buried with him.
Several broken skull masks, with the same drill holes and cuts as the one just
described, were recovered from a four-room structure on the northeastern
corner of the Great Plaza near the Acropolis. The excavators suggested that
it was a communal or young men’s house (Cheek and Spink 1986), which
are known from ethnohistoric sources to be present among the Maya.
130 Maya wafare and skeletal trophies
The presence of the skull masks is strong evidence that this communal house
was probably occupied by young, unmarried elite men training for war and
ritual duties. Unlike the skull mask in Patio D of the 9N-8 residence, these
were incomplete and lacked face pieces. Because they were found among the
refuse, it appears that these were probably deliberately broken and discarded
and were not considered the personal property of any of the residents. It is also
possible that these were considered a cohort trophy of a group of warriors, and
it was important at some point to destroy these ritually, rather than link them to
any particular individual. Such cohort skeletal trophies are known from the
earlier Classic site of Teotihuacan, for example (Sugiyama 2005).
8.4 Conclusion
While some trophy heads are known, skull masks made from captives appear
to be an important trophy, to judge from the iconography of the Late/Terminal
Classic Maya. Maya elite men, especially, were expected to be warriors and to
be successful had to capture and sacrifice elite warriors from the opposing
polity (Webster 1998). Archaeologically, several of these skull masks have
been found. These have been elaborately modified to be used as pectorals,
Rebecca Storey 131
hung from belts, or else to be worn as masks. Defleshing marks indicate that
such modifications were undertaken fairly soon after death. They also appear
to have holes drilled for decorations – usually feathers are depicted in the art.
Those from Copán and Pakal Na have been studied by the author. When
associated with a single interment, these definitely appear to be important
properties of the individuals. The skull masks have clear evidence of coming
from elite individuals. In this case, it is likely that both the aggressor and the
victim are linked in the mortuary treatment.
In one case, the aggressor was a robust individual, while in the other, he was
a rather gracile individual, indicating that elite males were expected to be
warriors, even if they were not physically impressive. At Pakal Na, the warrior
was probably also the ruler of the site during his lifetime, while at Copán, the
individual was simply an honored member of the residential group. Copán also
provides evidence of skull masks that do not appear to be linked to particular
individuals. Except for the individual in Patio D of the 9N-8 residence, the
skull masks seem to have been deliberately broken, especially to obliterate the
face. At Pakal Na, this was probably done at final interment, to terminate
whatever power it may have embodied when whole. There were only pieces
of the face of the skull mask at 9N-8, especially the maxilla, so it is possible
that the face was broken at the interment of the main individual, although
it remained on his chest. Skeletal trophies were powerful reminders of war
and its dangers, and probably gave the “owners” power and prestige in their
society.
Maya iconography has many examples of the stress on elite warfare, the
treatment of captives, and the use of skeletal elements from probable captives
(see Cucina and Tiesler 2007). However, the bioarchaeological evidence of
warriors and their trophy skull masks make this violence personal and materi-
alized, as involving individuals whose archaeological context and skeletal
features support the information that is in the art and accompanying texts –
namely that both perpetrators and victims were elites, even in the case of the
skull masks within a young men’s house. This was violence within Maya
society between individuals who shared very much the same culture and
seemed to involve only adult males. The ritual nature of this violence, and
that being able to exhibit the results of ritual violence was important, is
revealed by both the art and the skeletons. Maya warfare was fought for status,
for control and tribute, and to prove the favor of the gods between competing
polities; the results had a dampening effect on losers and seemed to bring
prosperity to winners, at least until the next conflict (Webster 1998). Maya
ritual violence was both performance and political (Pérez 2012). In that, it
aligns with other New World pre-Columbian cultures, such as the Wari Empire
of Peru (Tung 2012) and Cahokia, near St. Louis today, of the Mississippian
132 Maya wafare and skeletal trophies
period of the central and southeastern United States (Koziol 2012), where
sacrifice and skeletal trophies are also found bioarchaeologically in particular
patterns for each culture. The association of skull masks with meanings of
power, control, and supernatural favor is crucial to what it meant to be an elite
Maya warrior. The victims undoubtedly understood the risks when they went
to war, and that it was a risk that was inherent in an elite status in Classic Maya
society. The roles and meanings attached to perpetrators and victims of warfare
violence were well understood among the Classic period Maya and served to
link the individuals in death.
Acknowledgments
The Xibun Archaeological Research Project received financial support from
the National Science Foundation (BCS-0096603). It was conducted with the
permission of the Institute of Archaeology, Belize. The Copán research is
conducted with the permission of the Instituto Hondureño de Antropología e
Historía, Tegucigalpa, Honduras, and has financial support from the World
Bank, the Fulbright Foundation, and the University of Houston.
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9 Face me like a man! (or, like a woman):
antemortem nasal fractures in
pre-Columbian San Pedro de Atacama
c h r i s t i n a to r r e s - r o u f f an d
l a u r a m. k i n g
9.1 Introduction
Exploring the nature of conflict when confronted only with archaeological data
can be daunting. However, unlike the more circumstantial evidence from
weaponry or defensive settlements, the human body can provide one of the
only direct sources of the acts of violence experienced by an individual
(Walker 2001). From a bioarchaeological perspective, the remains of the
human body can be studied to document the scarring of acts of violence,
which may leave bones broken and permanently altered. These provide us
with an interesting lens through which to consider violence in antiquity that is
more intimate than the scale of analyses employed by other disciplines.
Similarly, while certain events of warfare or imperial conquest may have clear
histories or understandable outcomes, small-scale conflicts or interpersonal
disputes require close readings to explore context and meaning. Tying these
things together, a bioarchaeological perspective can afford a more intimate and
contextualized view into violent injury, allowing a means with which to
analyze small-scale conflict.
This, then, leaves certain episodes of violence open to myriad interpret-
ations. Here, we use this bioarchaeological approach to explore possible
scenarios and conflicts resulting in face-to-face confrontations and, ultim-
ately, bleeding and broken noses for numerous individuals in the Middle
Period (AD 400–1000) Atacameño oases. These particular incidences of
violence pose a number of interesting questions. The oases are home to
long-term occupation and these villages are found near permanent sources
of freshwater (Llagostera 2004). The Middle Period is considered a time of
Bioarchaeological and Forensic Perspectives on Violence: How Violent Death is Interpreted from
Skeletal Remains, ed. D. L. Martin and C. P. Anderson. Published by Cambridge University Press.
© Cambridge University Press 2014.
134
Christina Torres-Rouff and Laura M. King 135
9.2 Background
Figure 9.1. Map of Chile indicating the location of the San Pedro de Atacama oases.
long-distance interactions, we suggest that this period was not without conflict,
and, moreover, that perhaps that conflict took on a standardized structure.
Human skeletal remains from the length of the occupation of the Atacama
oases have been studied by a number of anthropologists. Bioarchaeological
analyses of skeletal remains from several Middle Period cemeteries, most
notably Solcor 3, suggest that Tiwanaku influence resulted in an increase in
quality of life or standard of living as assessed through bioarchaeological
indicators (Costa Junqueira et al. 2004; Neves and Costa Junqueira 1998).
Interestingly, while there is no indication of investment in military activities
during the period, a fact that supports a peaceable Middle Period, there is
evidence of a slight increase in interpersonal violence from the Late Formative
to the Middle Period and of the differential distribution of violent injury
(Torres-Rouff 2011; Torres-Rouff and Costa Junqueira 2006). Similarly, the
rates of postcranial trauma do not differ significantly before and after the
Middle Period, suggesting that part of the population continued to engage in
potentially high-risk activities (Costa et al. 1998). These data suggest that this
time was not as peaceful as archaeologists have argued.
While the common narrative for the Middle Period describes a time of unpar-
alleled prosperity and peace, this account masks the variability inherent in
Christina Torres-Rouff and Laura M. King 137
societies where elites are concentrating power. It seems clear from earlier
studies that the abundant prosperity and increasing levels of foreign interaction
of the Middle Period had tangible benefits for Atacameños; however, the
distribution of that benefit, and the concomitant costs for individual wellbeing,
merit further exploration. Archaeological evidence suggests that these individ-
uals lived through a time of peace and affluence; however, this does not imply
that they were immune to violence. While it did not affect everyone, some
portion of this population experienced pain and violent injury while others
thrived. Moreover, we argue that some of the violence was regulated through
social norms or organized dispute resolution, resulting in a shift toward one
particular sort of injury pattern (e.g. Tung 2007; Walker 1997). Through
analyses of traumatic injury likely related to face-to-face confrontation, we
attempt here to explore the nature of interpersonal conflict in a time of a peace.
The skeletal remains of 493 individuals from eight cemeteries are considered
in this analysis of the distribution of trauma patterns in Middle Period San
Pedro de Atacama. The extremely arid environment of the Atacama Desert
results in the excellent preservation of skeletal material, allowing for the large
sample size considered here. These skeletal remains are curated at the Instituto
de Investigaciones Arqueológicas y Museo R.P. Gustavo Le Paige in San
Pedro de Atacama. Father Gustavo Le Paige, an amateur archaeologist and
pioneer in the study of Atacameño prehistory, excavated six of these cemeter-
ies in the 1950s and 1960s. As a result of his collection practices there are no
postcranial remains from these cemeteries, although he did meticulously
document the tombs and their contents in his field notes and many of his later
publications (e.g. Le Paige 1964). Archaeologists from the Universidad Cató-
lica del Norte’s Instituto de Investigaciones Arqueológicas y Museo R.P. Le
Paige excavated the final two cemeteries, Solcor 3 and Quitor 6 Tardío, in the
1980s (Bravo and Llagostera 1986; Llagostera et al. 1988; Llagostera and
Costa Junqueira 1990). These remains are complete skeletons. In sum, this
study involved analysis of the cranial remains of 493 individuals.
All the cemeteries date to between AD 400 and 1000, thereby covering the
expanse of the Quitor and Coyo phases that are discussed here. One cemetery,
Solor 3, occupies a transitional time between the Late Formative Period (AD 1–
400) and the Middle Period (Torres-Rouff and Hubbe, 2013). Similarly, three
of the cemeteries analyzed here, Quitor 6 Tardío, Yaye 3, and Yaye 4, occupy
the end of the Middle Period and the beginning of the subsequent Late
Intermediate Period (AD 1000–1450). Finally, it is worth noting that these
138 Antemortem nasal fractures
mostly contemporary cemeteries represent various ayllus in the oases. The ayllu
is the traditional form of Andean kin-based community structure that reflects
lineage and political groupings (ascriptive descent groups; Abercrombie 1998;
Cock 1981). Locally, these also reflect contemporary geographic and popula-
tional separations. The Larache and Solcor ayllus are traditionally associated
with greater wealth (Goldstein and Rivera 2004; Llagostera 1996; Tamblay
2004). Nevertheless, even within particular ayllus, it is likely that certain
groups in the population had more access to resources than other groups, and
this may have resulted in increased conflict between certain individuals.
Human skeletal remains were analyzed using standard bioarchaeological
methods (i.e. Buikstra and Ubelaker 1994a; Buzon et al. 2005). To form part
of this analysis, a cranium needed to be over 75% complete and include the
majority of the facial bones (and, of course, the nasal region). As a result of the
large number of individuals who are represented only by crania, sex was
mainly determined based on sexually dimorphic features of the skull, although
the os coxae were examined when available (n ¼ 143/493). Similarly, rough
age categories (juvenile, 0–18; young adult, 18–30; middle adult, 30–45; old
adult, 45þ) were made based on cranial suture closure and using postcranial
remains when available. Pelvic bones were used to determine sex in 121
individuals, while only crania were available for the remainder of the sample.
While cranial suture closure is notoriously difficult to use to assess age, the
majority of our questions and interpretations do not hinge on age-based
differences. These broad categories were used to assess whether an individ-
ual’s age resulted in biased results, given that trauma is among those biocul-
tural patterns that may have a "cumulative impact" over the course of a life
(Glencross and Sawchuk 2003). In our dataset, age (outside of childhood) did
not seem to impact the distribution of trauma, as there were no significant
differences between adult age categories (χ2 ¼ 2.156, df ¼ 2; P ¼ 0.340).
For this study we recorded not just traumatic injury to the nasal region, but
all instances of cranial trauma. Evidence of healed trauma was documented as
depressions on the vault, facial fractures, and weapon wounds. Convincing
perimortem trauma, injuries that were sustained at or around the time of death,
was also documented. Trauma was recorded in a number of ways. Details used
to document perimortem trauma included radiating fractures, color, and adher-
ing bone fragments (Buikstra and Ubelaker 1994b; Lovell 1997; Roberts and
Manchester 2007; Tung 2008). The affected bone of the skull, side, and state
of healing were described, as were the shape and size of the injury and any
evidence of weapon use. Data were also collected as to those individuals with
multiple injuries or injuries to both the nasal region and elsewhere on the skull.
All data were analyzed for patterns based on age and sex and compared among
sites and over time.
Christina Torres-Rouff and Laura M. King 139
The analysis shows that 78 of 493 individuals (15.8%) had antemortem cranial
fractures; the overwhelming majority of these fractures were to the nasal bones
(63/78; 80.8%), suggesting face-to-face confrontations as a dominant form of
violent interaction (Table 9.1; Figures 9.2–4). We documented very few cases
of possible perimortem trauma (all involving the cranial vault) and they are not
discussed here. Surprisingly, individuals with fractures involving the nasal
region showed no evidence of fractures elsewhere on the cranium. There is a
significant difference between the sexes in the presence of traumatic injury
(χ2 ¼ 8.604; df ¼ 1; P ¼ 0.003), with fractures more common among males
(46/199 vs. 23/194). Similarly, there is a significant difference between the
sexes when only injuries to the nasal region are considered (χ2 ¼ 6.854; df ¼ 1;
P ¼ 0.009), with males, again, displaying the great majority of these traumas
(38/199 vs. 19/194). There are no significant differences when all sites are
compared; however, pairwise comparisons yield some statistically significant
differences between sites, suggesting that these could be affected by differences
in social personae, be it through kin relations or sociopolitical roles. For example,
closer examination of cemeteries from the Solcor ayllu, considered socially
distinct based on studies of material culture (Nado et al. 2012; Torres-Rouff
2011), supports this, with 8.6% of individuals from the more elite cemetery of
Solcor 3 injured in contrast to 18.6% from Solcor Plaza, a difference for males
that is statistically significant (χ2 ¼ 7.022; df ¼ 1; P ¼ 0.008). Below we detail
the results of our bioarchaeological analyses and break down the types of
distinctions and similarities that we see in the nature of these violent encounters.
Larache MP 22 2 3 27
Quitor 6 T. MP/LIP 44 5 1 50
Solcor Plaza MP 54 13 3 70
Solcor 3 MP 81 9 3 93
Solor 3 LF/MP 45 4 1 50
Tchecar MP 137 20 3 160
Yaye 3 MP/LIP 18 4 1 23
Yaye 4 MP/LIP 14 6 0 20
TOTAL 415 63 15 493
MP, Middle Period; LIP, Late Intermediate Period; LF, Late Formative Period.
140 Antemortem nasal fractures
Figure 9.2. Healed fracture to the nasal region (Tchecar Túmulo Sur, t. 1107).
Despite assertions that the Middle Period was peaceful and prosperous, our
evidence suggests that the population still engaged in violent activity, perhaps
even with some frequency. In total, 63 of 442 adults showed evidence of nasal
fractures (14.3%; increasing to 19.1% [38/199] when only adult males are taken
into account). These data argue for a social role for this type of violent injury,
especially considering the low rates of traumatic injury to the rest of the skull (15
of 78 fractures did not involve the nasal bones; however, of these, 10 involved
other bones of the face, continuing to support the idea that the population
engaged in frontal attacks). The confrontational nature of the violent encounters
that produced these fractures is dramatic. In sum, it appears that frontal assaults
played something of an important role in Middle Period Atacameño society.
9.5.2 Age
It is worth noting that one of the clearest results of this study is that interper-
sonal violence that causes serious injury in the form of skeletal trauma appears
Christina Torres-Rouff and Laura M. King 141
Figure 9.3. Healed fracture to the nasal region (Tchecar Túmulo Sur, t. 854).
Figure 9.4. Healed fracture to the nasal region (Quitor 6 Tardío, t. 32).
142 Antemortem nasal fractures
to be the domain of adults. None of the 51 children nor adolescents from the
eight cemeteries included in this study (no infants or neonates were analyzed)
showed evidence of nasal fractures, or, for that matter, any type of trauma to
the cranium. Although it is possible that the rapid remodeling of children’s
bones affects these data, it would be unexpected if every incidence of trauma
was erased from children (Glencross and Stuart-Macadam 2000). Given the
frequency with which violent injury is seen in the adult portion of the sample,
this suggests that age was a decisive factor in whether one could participate in
these more regularized violent activities.
9.5.3 Sex
both sexes. While we cannot extrapolate the specifics of the tinku to the
Chilean case considered here, this kind of regularized and socially sanctioned
violence may stand as an example of the kind of standardized non-lethal
violence engaged in by a community that could result in the patterns of nasal
and facial fractures we see reflected in our sample. Given that all the injuries in
our sample show evidence of healing, this suggests that lethal violence was not
the focus of these face-to-face conflicts.
We have a temporal spread in the sample considered here that not only
includes the heart of the Middle Period, but also smaller samples from the
preceding Late Formative Period (n ¼ 50; Solor 3) as well as the subsequent
Late Intermediate Period (n ¼ 93; Quitor 6 Tardío, Yaye 3, and Yaye 4).
Together these give us the opportunity to assess whether there might be
temporal distinctions in these patterns of nasal trauma and whether they could
be particular to the events of the Middle Period. Nevertheless, there are
no significant differences between the time periods (χ2 ¼ 1.703; df ¼ 2;
P ¼ 0.427) in the presence of traumatic injury, or in trauma to the nasal region
(χ2 ¼ 1.974; df ¼ 2; P ¼ 0.373). Additionally, there appears to be no significant
differences between the sexes over time. All of this information suggests that
the patterns of nasal and facial fractures, and consequently of violent face-to-
face encounters, documented in this collection span the whole of the Middle
Period and may reflect a long-established tradition for conflict resolution.
of the 50 individuals interred there, a pattern that is consistent with the core
Middle Period sites. The Quitor cemeteries, in contrast to the Yaye ones, have
typically been associated with more material wealth (e.g. Le Paige 1964).
Despite the general lack of significant differences, there is a substantive
range in the presence of nasal fractures, from the aforementioned 30% at Yaye
4 to the very low rates at Solcor 3 (9/93; 9.7%) and Larache (2/27; 7.4%). The
more opulent mortuary assemblages from Solcor 3 and Larache suggest that
these were the burial places for an elite segment of the population during the
Middle Period. As mentioned above, this period saw a substantial increase in
interregional interaction, and the oases were incorporated into the Tiwanaku
sphere of influence. This association with the powerful and influential
foreign state seems to have conveyed elite status to a number of individuals
within the oases (Llagostera 1996). The two cemeteries with the strongest
evidence for Tiwanaku influence, Larache and Solcor 3, also include the
highest number of other high status goods, including gold and foreign objects
from locations outside of Tiwanaku as well as the greatest number of goods in
the mortuary assemblage (Torres-Rouff 2011). Finally, while apparent elite
standing in this time of growing social inequality did not protect the individ-
uals buried in these two cemeteries from the injuries sustained during violent
encounters, it did seem to lessen the impact on or involvement of certain
individuals.
9.6 Conclusions
This exploration of traumatic injury in the Middle Period aimed to shed some
light on the practices that resulted in nasal fractures becoming nearly com-
monplace. However, the consistency with which this activity was engaged in
during the length of the Middle Period suggests that more than acts of
interpersonal violence we may be documenting some form of socially sanc-
tioned activity that involved face-to-face confrontation. Without more detailed
study we are unable to identify what these individuals shared that resulted in
injury. While it seems unlikely that there were “attackers” and “victims” in the
traditional sense, what this may be is evidence of a local means of conflict
resolution involving direct confrontation between adult individuals. Moreover,
it is possible that there was a regularized quality to these contests that produced
standardized injury patterns. Unsurprisingly, it is evident that the peace and
prosperity that characterized the Middle Period was not tied to a complete lack
of hostilities between different social groups and this leaves open the possibil-
ity for a deeper exploration of violence in this time of growing prosperity and
increasing social hierarchization.
Christina Torres-Rouff and Laura M. King 145
Acknowledgments
We would like to express our gratitude to Dr. Mark Hubbe and the Instituto
de Investigaciones Arqueológicas y Museo R.P. Gustavo Le Paige. NSF BCS-
0721229, Colorado College Jones Fund and Venture Grants, and the Fulbright
Foundation supported this research. Our thanks also go to Blair Daverman for
her assistance during data collection and to Debra Martin and Cheryl Anderson
for the invitation to participate in the original AAPA symposium.
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10.1 Introduction
Since the 1980s, ethnographers have increasingly explored the ways that dead
bodies and body parts may have significant and dynamic afterlives by virtue of
their psychological, social, political, and economic potential. The study of
topics ranging from organ trafficking (Scheper-Hughes 2002) and transplant-
ation (Sharp 1995), to the legacy of immortal stem cell lines (Bharadwaj
2012), to repatriation of border crossers’ bodies in the American Southwest
(Magaña 2011), has demonstrated that dead bodies are highly dynamic loci
through which a host of competing interests, and social and politically oriented
narratives may intersect and emerge. In the past decade, this and related
ethnographic research on the body has sufficiently permeated the broader
anthropological sciences such that a “body focus” has emerged as a principal
research theme throughout the social and biological subfields of anthropology
(Borić and Robb 2008; Csordas 1990; 1999; Joyce 2005; Lorentz 2008;
Rebay-Salisbury et al. 2010; Scheper-Hughes and Lock 1987; Sharp 2000;
Shilling 1993). This orientation has largely stemmed from feminist and
gender-focused research (Haraway 1991; Strathern 1988).
Bioarchaeologists have long been aware of the fact that differential funerary
treatments of human bodies reflect a range of psychological, sociopolitical,
and cosmological concerns (Brown 1971; Hertz 1960 [1907]; Shanks and
Tilley 1982), and that the narratives surrounding dead bodies can unfold long
after an individual dies. As such, bioarchaeologists are uniquely situated to
engage efforts to understand how and why some dead bodies are incorporated
into historical narratives and thus become potent social, political, or economic
Bioarchaeological and Forensic Perspectives on Violence: How Violent Death is Interpreted from
Skeletal Remains, ed. D. L. Martin and C. P. Anderson. Published by Cambridge University Press.
© Cambridge University Press 2014.
148
William N. Duncan and Christopher M. Stojanowski 149
symbols while others are not. Sarah Tarlow’s (2008) micronarrative of Oliver
Cromwell’s head and Annia Cherryson’s (2010) discussion of the commodifi-
cation of bodies for dissection and medical training through time are two
examples of such research.
In the wake of the Native American Graves Protection and Repatriation Act
(NAGPRA; Fine-Dare 2002; 2005; 2009; Kakaliouras 2008; 2012), bioarch-
aeologists and forensic anthropologists have also become acutely aware of the
fact that anthropologists play active roles in shaping the historical narratives
surrounding certain bodies (collectively and individually). The debates about
NAGPRA unfortunately pitted scientists against Native Americans in a discus-
sion about who ultimately decided the fate of human remains and what consti-
tuted reasonable or legitimate cultural affinity between the living and the dead
(Brooks and Rumsey 2007; Watkins 2004). However, anthropologists play
active roles in driving discourse in criminal and war contexts as well. In many
criminal contexts, the discourse surrounding dead bodies occurs between the
survivors, the state, and the anthropologist. Anthropologists frequently think of
themselves as speaking for the deceased, which is undoubtedly true; however,
in many circumstances the discourse surrounding dead bodies is anything but
straightforward. Rocío Magaña (2011) has shown, for example, that border
crossers’ bodies in the American Southwest are symbols of the Mexican state’s
lack of ability to provide for its citizens. However, he also argues that border
crossers’ bodies are a medium by which the state establishes control over its
citizenry through an unnecessarily complex bureaucracy. The location, identi-
fication, and repatriation of the bodies of the deceased are among the principal
interests of the surviving loved ones in Mexico as a part of mourning and an
attempt to achieve closure. However, the bureaucratic hurdles that are set up
(on both sides of the border) present a significant delay, of up to a year, even
after bodies are located and potential family members are identified. The
Mexican government requires that all DNA testing occur at Baylor University
and then data and samples must be processed in the Foreign Ministry Center in
Mexico City, for example (Magaña 2011). Thus, Magaña (2011: 170) has
argued that “through strategic management . . . the dead bodies that could be
indexical of the state’s failures at its borders are turned into political resources
that help strengthen its claims to authority over people and territory.”
Outside of discussions about NAGPRA, forensic anthropologists and
bioarchaeologists have spent relatively little time reflecting upon our roles in
the narratives that surround the bodies we study. To this end, we ask what
makes some bodies more likely to receive attention from forensic anthropolo-
gists and bioarchaeologists than others? Why do some interest groups pursue
anthropological consultation on certain bodies and, furthermore, why do
anthropologists agree to collaborate? What causes some bodies to receive
150 Defacement and narrative in historical forensics cases
As the title of this section indicates, we are dealing with multiple histories –
of historical figures, of an historical landscape, of an archaeological explor-
ation of that landscape, and of an object, a person, a partial human skull – that
combined in an intersection of local knowledge, archaeological discovery,
and forensic anthropological intrigue. Before understanding the manner in
which these histories have come to intersect, however, we must first tease
them apart.
Figure 10.1. Map of the southeastern US states showing the location of Fort King
George (asterisk) located along the southern coast of Georgia.
1985). Most missions were razed. The principal instigator of the rebellion
was a young Guale named Juanillo (but see Francis and Kole 2011), heir to
the local paramount chiefdom, who was publicly reprimanded and stripped
of his claim to title for practicing polygyny. This occurred at the village of
Tolomato and the rebuke came at the hands of the resident friar Pedro de
Corpa.
Although tensions had likely been broiling below the surface for some time,
it was this one event that historians of the time (Barcia 1951 [1723]; Gómez-
González 2007; Torquemada 1944) and through the mid twentieth century (de
Oré 1936; Geiger 1937; Habig 1944; Lanning 1935) say ignited the short but
intense period of violence. The suddenness and ferocity of the violence was
shocking to the colonial administrators, who launched a full investigation
leading to the capture, interrogation, torture (by water boarding) and, in at
least one case, execution of the few witnesses (almost all teenagers) they could
capture. During the Spanish military’s investigation into the events, the bodies
of three of the friars were identified. The remains of Pedro de Corpa and
Francisco de Veráscola were never recovered, with de Corpa reportedly
beheaded and his body hidden so that it would never be discovered. Although
recent scholarship has called into question many of the details and motivations
William N. Duncan and Christopher M. Stojanowski 153
of the Juanillo Revolt (Francis and Kole 2011), the story just outlined is well
known to most local historians and students of Florida and Georgia archae-
ology, a fact that itself reflects the power of defacement for defining regional
histories. The story also forms the basis for the claim of martyrdom and is part
of the active postulation for canonization (Harkins 1990; n.d.; Wyse 1982,
1985).
10.2.2 The Darien Bluff and the Fort King George “skull”
The calvaria in question was found in the 1950s during excavation of British
and Spanish period archaeological deposits along the Darien Bluff, a promon-
tory of land bordering the Altamaha River near present-day Darien, Georgia
(Figure 10.1). As a dry bluff overlooking a major river it is no surprise that the
history of human occupation of the area spans several millennia, as recon-
structed through numerous archaeological investigations of the site (Baker
1970; Caldwell 1943, 1952, 1953, 1954, 1970, n.d.-a, n.d.-b, n.d.-c; Johnson
1983; Joseph et al. 2004; Kelso 1968; Steinen 1985; Watkins 1970). The bluff
witnessed the construction of two Spanish period missions for the local Guale
population during the late sixteenth and early-to-mid seventeenth centuries
(Caldwell 1953; 1954; Lewis 1953), was abandoned in 1661 at the initiation of
slave raids along the coast (Worth 1995), and was re-settled by Yamasee
Indians in 1715 (Barnwell 1926), followed by the building of an English fort
at the site (Fort King George), in existence from 1721 until 1727 (Cook 1990;
Ivers 1996; Lewis 1967).
During these 6 short years dozens of aged and infirmed English soldiers
died and were buried in the nearby cemetery, which visitors to the Fort King
George museum today can still see (Figure 10.2; see also Hulse n.d. for a
discussion of these remains). The fort also temporarily housed Swiss deserters
from French Louisiana as well as African slaves (Barnwell 1926). The area
was re-settled by Scottish Highlanders in 1736, who established the modern
town of Darien (Lewis 2002). By 1820 sawmilling operations were established
on the bluff, the site served a defensive purpose during the Civil War (the mills
and the town were destroyed by Sherman); by 1878 a second sawmilling
operation began at the site. Interspersed among these major foundation events
were various Creeks, New Englanders, Carolinians, Irish and English expats,
and free and escaped slaves.
Initial excavations at the Fort King George site uncovered evidence of the
prehistoric occupation of the area (Caldwell 1943). Subsequent work identi-
fied elements of the Spanish period mission (likely the later one built) as well
as the English cemetery associated with the fort (the fort, to our knowledge,
154 Defacement and narrative in historical forensics cases
Figure 10.2. Commemorative grave stones at the Fort King George site marking the
location of the British period cemetery.
has not actually been found; Caldwell 1952; 1953; 1954; n.d.-a; n.d.-b).
Details about the Spanish missions are most relevant here. Although at the
time of excavation the mission was thought to be Nuestra Señora de Guadalupe,
associated with the important Guale village of Tolomato where Pedro de
Corpa served and was killed (Jones 1978), subsequent historiographic work
(Francis and Kole 2011; Worth 2004a) suggests that the sixteenth-century
mission was actually Santo Domingo de Talaje, associated with the Guale
village of Asao where Francisco de Veráscola lived and was killed. Regard-
less of which attribution is correct, a Spanish priest was killed at the site and it
is this documented history that intersected with the discovery of the Fort King
George “skull” and led us to this point in the calvaria’s history.
The calvaria in question has limited provenance and is not mentioned in
any of the excavator’s reports about the site (Caldwell 1952; 1953; 1954;
n.d.-a; n.d.-b). Given the clarity and specificity of these reports in other details,
we find this curious and wonder if Caldwell herself thought the skull belonged
to Pedro de Corpa (we suspect not, since she apparently assigned the mission
to Talaje or Espogache, not Nuestra Señora de Guadalupe – Caldwell 1970;
n.d.-c). The formal museum accession record indicates it was donated by
Caldwell between 1952 and 1954, that it was found “on the bank of the river
in what had been the Guale Indians’ trash pile,” and that, because of this
William N. Duncan and Christopher M. Stojanowski 155
location and the Mediterranean type (a reference to old racial typology) of the
skull, it “is believed to be that of the Franciscan priest, Father Corpa [who] was
beheaded by the Indians. . .[h]is head placed on a stake in the trash pile and
[the] rest of his body was feed (sic) to the dogs. (Fort King George accession
record for FKG.52–54.1.121/FK2001.1.1.).” The calvaria was on display in
the Fort King George museum but the only references to the attribution are by
David Hurst Thomas (1993) in an unpublished report on the archaeology of
the region and by Alexander Wyse (1985), which provides the only
known image of the calvaria on display at the museum. However, given the
occupational history of the site, the calvaria could have been that of any
number of individuals that lived along the Georgia coast during the post-contact
period.
Because Pedro de Corpa and the other Georgia Martyrs are the subject of an
ongoing canonization case, the Franciscan Order needed expert opinion on the
calvaria’s potential identification as one of the friars. Our involvement began
with the receipt of a letter addressed to one of the authors (CMS) dated
September 23, 2003. Having completed a dissertation on the bioarchaeology
of the Florida missions, CMS was familiar with the story of the Georgia
Martyrs and naturally found the project of interest, useful in its applied focus,
and a relatively simple matter to resolve. That CMS was 1 month into his first
tenure track job may have helped matters along as well. However, the initial
examination of the calvaria asked more questions than it answered; falsifica-
tion was not possible. As the literature review for the various components
expanded, CMS enlisted the aid of the senior author (WND, his then research
assistant) to evaluate specific leads and survey specific literatures. We returned
to Georgia in tandem to examine the calvaria jointly. Then, with more ques-
tions remaining, the specimen was loaned to CMS at Arizona State University
for a third consideration. As of this writing, a fourth visit is likely as we have
yet to exhaust all possibilities.
The actual results of the analysis are not the most germane elements to be
presented here and have been published elsewhere (Stojanowski and Duncan
2008; 2009). Briefly, the calvaria displays a morphological profile consistent
with a male (Figure 10.3a, b). The age of the individual, as could be
determined best using only cranial vault sutures (and considering the patho-
logical condition of some of them – see below), is consistent with an adult of
the approximate age of the Georgia Martyrs (about 30–40 years). The calvaria
is not pristine – breakage is apparent in that the facial skeleton is missing, as
156 Defacement and narrative in historical forensics cases
Figure 10.3. The Fort King George calvaria, thought to be that of Pedro de Corpa.
(a) Right lateral view; (b) inferior view. Note the damage to the cranial base.
William N. Duncan and Christopher M. Stojanowski 157
is a portion of the cranial base (Figure 10.3b). In fact, a complete skull would
have been inconsistent with the reported brutality with which the friars were
dispatched.
Rather than simply using FORDISC to assess ancestral affiliation, we
instead followed the advice of Brues (1992) and used populations known to
have resided in the area during the post-contact period to generate appropriate
comparative samples for discriminant function analysis of cranial vault vari-
ation. In total, over 5000 individuals were data-mined from published sources
(primarily Biometrika and the Archives of the National Museum of Natural
History), representing three centuries and multiple ancestral groups (Stoja-
nowski and Duncan 2009; 2010). An Iberian/Basque affiliation was not only
possible given the range of craniometric variation – it appeared to be the most
likely option (Stojanowski and Duncan 2009; 2010). Extraction of DNA was,
of course, attempted but was ultimately unsuccessful. Radiocarbon assay was
also unable to falsify the attribution. Oxygen, nitrogen, carbon, and strontium
isotopic analyses are ongoing.
Considerable effort was also expended exploring a relatively rare patho-
logical condition – partial frontal and squamosal unilateral craniosynostosis
(Duncan and Stojanowski 2008). Ironically, such a condition would be suffi-
cient for positive identification in a modern forensic context but did little for
positive identification in this case (not for lack of trying to link noted changes
in facial asymmetry to historical descriptions of the friars). We spent consid-
erable time documenting the calvaria’s various taphonomic signatures –
cortical exfoliation, sun bleaching, microfractures, post-excavation damage,
and the pattern of breakage (Stojanowski and Duncan 2008). We considered
whether the lack of a face is consistent with a LeFort III fracture or whether
it is the result of the natural taphonomic process of skull fragmentation. We
mined the various historical sources for information on what weapons may
have been used, which led us down the wormhole of non-specific, non-English
terms for weaponry in the Americas. We asked whether the damage to the cranial
base was consistent with impalement, whether impalement could also cause the
face to detach from the vault, and whether any experimental work had been done
documenting the effect of impalement on the cranial base. We considered the
lack of evidence of scalping in light of ethnohistoric reports of what the
natives of Georgia actually used for such practices, specifically whether or
not reeds would have left evidence on the frontal bone. Soil samples were
extracted from the inner ear to assess whether the soil type was local and
whether it could be matched to specific archaeological reports of the strati-
graphic profile of the Georgia Bluff where the calvaria was found. The bodies
of head lice were also found within the ear and considered for potential DNA
extraction if blood was preserved in their stomachs. We worked very hard to
158 Defacement and narrative in historical forensics cases
falsify the attribution to one of the Georgia Martyrs and equally as hard to
establish some means, a hint even, of positive identification. As falsification
becomes less and less likely, our attention has turned to trying to identify,
with as much evidence as possible, who this is likely to be, if not one of the
Georgia Martyrs.
10.3 Discussion
Yamana cultures, but we focus only on the former here. During initiation to
men’s groups, men dressed like spirits by painting their naked bodies and
wearing masks. The initiates encountered the spirits in the Big Hut, during
which the spirit approached the young men, fondled their genitals, and
wrestled with them. After this, the initiates were forced to unmask the spirit
and the men began laughing as the secret (the trick) was revealed: the men are
the spirits and only the men may know it. Part of being a man in Selk’nam
society was knowing and keeping this secret, and the rite in the Big Hut
consisted of unmasking that secret. Ultimately, the women knew the secret as
well as the men, and the men knew that the women knew. However, the
identities of the spirits were openly acknowledged only in the ceremony;
destroying the secret served to make it (more) sacred (Taussig 1999). As
Taussig (1999: 162; italics removed) notes, “all along revelation was part of
the secret’s secret.”
Unmasking the secret made it sacred but there is another facet to the
Selk’nam example concerning the framing of the unmasking, one that high-
lights the anthropologist’s relationship to defacement in this case. Martin
Gusinde was a German Austrian priest–anthropologist who lived with the
Selk’nam in the early 1900s and Taussig (1999) analyzes his relationship to
the ritual and the unmasking in the Big Hut. Gusinde was clearly interested in
understanding the entire ritual process and paid the Selk’nam to re-create it for
him (Taussig 1999: 128). More than that, though, Gusinde wanted to docu-
ment the ritual so badly that he was willing to risk offending the Selk’nam and
thus jeopardize his work there. Although he was permitted to take photographs
of the men, he was expressly forbidden from doing so until they were
completely dressed as the spirits, lest the photographs provide proof to the
women that the spirits were only men in disguise. Gusinde proceeded to take
pictures of the half-dressed men and immediately found a hand around his
throat demanding an explanation for the violation, which he managed to
provide only with a "dramatic act of submission" (Gusinde, cited in Taussig
1999: 120). Given the state of photographic technology in the early 1900s,
Gusinde must have known taking a picture clandestinely was impossible. Yet
he so wanted to unmask the secret in his own way that he ignited a magnesium
flash to photograph his subjects in precisely the state (half-costumed) that he
had promised not to photograph.
Taussig (1999) explored how Gusinde’s potential unmasking through
photography differed from the Selk’nam unmasking in the Big Hut. He
argues that, for Gusinde, attraction was not just to the secret itself, but to the
need to unmask it on his own terms, which in this case was to explain it
away. Gusinde wanted to account for the ritual (unsuccessfully in the end)
in terms of its function, history, or origin to explain why such an elaborate
160 Defacement and narrative in historical forensics cases
rite and secret existed. He tried to reduce the ritual to a product of a specific
cause or process. This is problematic, in part, because reductionism failed
to account for the mystery, intensity, elaborate preparation, and potential
sanctions that came with violating the unspoken rules. It did not explain
why the men were obsessed with the women not finding out or why the rite
lasted more than a year (Taussig 1999).
Gusinde’s focus on understanding the rite was not only incomplete – it
changed his relationship to the secret. The Selk’nam unmasking in the Big
Hut maintained the potency of the mystery surrounding the secret even as it
was revealed. The mystery for Gusinde, on the other hand, was what
function the rite and secret served to begin with. When Gusinde engaged
the secret, he tried to demystify it in a way that would have just reduced it to
a hoax resulting from some larger historical or functional process. His
unmasking did not increase the mystery and sacrality of the original secret;
it detracted from it. Moreover, Gusinde’s approach, in Taussig’s view,
would have added to the mystery and sacrality of the search for function
or origin, reinforcing the value of scientific inquiry and enlightenment
reductionism. This is why the epigraph for Taussig’s (1999) book is a quote
from Walter Benjamin: “Truth is not a matter of exposure which destroys
the secret, but a revelation which does justice to it.” Gusinde engaged the
secret from a functionalist (scientific) point of view. Rather than use
the sacrality that emerges from its destruction to add mystery to the ritual,
he appropriated and redirected the sacrality to his own goals, and relegated
the experience of the ritual to details that did not fit his explanation, which
in itself was an act of violence.
With this in mind, we can consider the case of Pedro de Corpa from the
perspective of the relevant interlocutors (the church, the museum, the
anthropologists, and the Native Americans). Highlighting parallels and
divergences between the Pedro de Corpa and the Selk’nam cases sheds light
on the case’s relevance to larger issues in bioarchaeology. The Franciscan
Order’s initial interest in the calvaria was to gain insight into the historical
narrative of the Georgia Martyrs as a contribution to their possible canon-
ization. Martyrdom is historically a common route to canonization. The
willingness to suffer and die for the faith is, of course, a powerful symbol
(and tool) for the Catholic Church. The violence suffered by the priests
unleashed the potential sacrality that could be used as a symbol by the
Church. However, confirming that the priests suffered both bodily harm
William N. Duncan and Christopher M. Stojanowski 161
and desecration after death was important for the Church’s case for canon-
ization. In other words, the church solicited and required anthropological
involvement to confirm that such violence had occurred and, ultimately, the
establishment of truth or falsification in this case was handed over to
outsiders (the anthropologists). This highlights two principal differences
between the Pedro de Corpa and Selk’nam cases. In the former, anthropo-
logical involvement was sought as an arbiter in an actual case; in the latter
the anthropologist sought out and paid for a re-creation of an indigenous
ritual. Thus the role and contribution of the anthropologist to the respective
cases is inherently different (see below).
The museum’s perspective mimicked that of Gusinde, the anthropologist in
Tierra del Fuego, to a greater degree. The narrative surrounding the Georgia
Martyrs was sufficiently magnetic that the museum displayed the calvaria for
years advertised as Pedro de Corpa even though we were unable to find
reason to connect the skull to Pedro de Corpa, biologically or historically.
You can understand why; museums’ goals include attracting, informing, and
entertaining (edu-taining?) the public. This display and its surrounding narra-
tive would have engaged the public in a specific narrative about local history,
and in turn educated them on some of the dynamics that characterized the
colonial period.
The anthropological interest, which is to say our own, was driven by
factors ranging from professional obsessiveness to the need to publish, but
defacement drove our interest for the same reason as the museum. The
narrative was magnetic, and it presented an opportunity to serve the public,
and to have some greater relevance outside of the narrow audience of
academia. Frankly, as bioarchaeologists working in the NAGPRA era, we
were thrilled to have someone want anthropological input. This is where our
involvement in the case differed from that of Gusinde in Tierra del Fuego.
In this case, anthropological input was solicited and had the potential to
offer clarity about the skull, but it never detracted from the mystery
surrounding it. In fact, anthropological involvement added to its mystery,
and it would have done so whether or not we had determined with certainty
that the skull was one of the Georgia Martyrs. In this sense anthropological
engagement occurred on the terms of the people who asked us to study it.
Our involvement occurred, so to speak, in the Big Hut, and accordingly did
justice to the mystery rather than explaining it away, in Walter Benjamin’s
terms (see above). This is not to say that we did not consider purely
anthropological issues in this case. We published a case study on a path-
ology exhibited by the skull as well as a craniometric analysis, but, initially
and ultimately, our involvement was on the terms of the Church and the
museum. Our involvement and unmasking of the fact that there was no
162 Defacement and narrative in historical forensics cases
ourselves. The second reason, though, is that in this case the information that
anthropological investigation brought to bear served to enhance the mystery of
the initial narrative, rather than explaining it away, and in doing so imbued the
calvaria with greater social and religious meaning and value than it had prior to
our involvement. The nature of inquiry that characterized anthropological
involvement was entirely consistent within the framework of the relevant
soliciting groups that intersected through the Fort King George “skull” and,
as a result, this particular body received more detailed investigation than it
might have otherwise.
Acknowledgments
We have enjoyed working on this project tremendously, not least because it
has given us an opportunity to contribute to a fascinating historical question.
It has also brought us in contact with a number of people who have been
happy to help since we began in 2005. We would like to thank Father
Conrad Harkins for contacting us and inviting us to begin the project, and
for his continued support through the past couple of years. We are also
grateful to the staff of Panola Mountain State Park for accommodating our
visits to their facilities. We are particularly indebted to Linda Bitley and
Debbie Wallsmith, who helped arrange for the temporary loan of the Fort
King George specimen to our lab for more detailed analysis. Josephine
Caldwell has and continues to provide important historical information about
her parent’s work along the Darien Bluff. Clark Spencer Larsen also facili-
tated data collection for some of the comparative samples used in this
analysis. We would like to thank Dr. Debra Martin and Cheryl Anderson
for soliciting our participation in this volume, and Dr. Kathy Fine-Dare for
her constructive review. Funding for this project was provided by a St. John
Fisher Faculty Development Grant.
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Part IV
Violence and identity
11 Violence in life, violence in death,
resiliency through repatriation:
bioarchaeological analysis and
heritage value of Yaqui skeletal
remains from Sonora, Mexico
h e i d i j . ba u e r - c l a p p a n d
v e n t u r a r. p é rez
11.1 Introduction
Bioarchaeological and Forensic Perspectives on Violence: How Violent Death is Interpreted from
Skeletal Remains, ed. D. L. Martin and C. P. Anderson. Published by Cambridge University Press.
© Cambridge University Press 2014.
171
172 Heritage value of skeletal remains
Sonora
Hermosillo
Sierra de Mazatan
Gulf of California
N
0 5 10 20 30 40
Miles
The Yaqui are an indigenous people of what is now the state of Sonora in northern
Mexico (Figure 11.1). In the late nineteenth century the Yaquis also occasionally
migrated or were deported to the southwestern United States and developed
permanent settlements in Arizona. In 1939 the Yaqui of Mexico were granted
official recognition by the Mexican government and gained title to a small portion
of the land in Sonora that they considered their home territory. The Pascua Yaqui
Tribe of Arizona became a federally recognized Indian Tribe in 1978. Yaqui
identity in the modern world in both Mexico and the USA centers on maintaining
cultural autonomy and control over their land, an ongoing struggle since the time
of European contact in 1533 (Molina 2000; Sandoval 2009).
At the time of Spanish contact in the early sixteenth century the Yaquis lived
as hunters and farmers in rancherías primarily assembled on the Yaqui River in
Heidi J. Bauer-Clapp and Ventura R. Pérez 173
By 1740 relations between the Mayo and the Spanish had broken down, and
the Yaqui and the Mayo joined together to rebel against Spanish oppression.
While the Spanish were ultimately victorious, the conflict drove all missionar-
ies in the region out; fatalities numbered over 1000 for the Spanish and over
5000 for the indigenous allies (Spicer 1962). The Jesuits eventually returned
and resumed their work in the region (Spicer 1962). The Jesuits encouraged
the Yaqui to produce surpluses on their farmlands as a means of economic
174 Heritage value of skeletal remains
protection but, when the Jesuits were permanently expelled in 1767, the Yaqui
no longer saw a need to maintain this practice. By this point they were able to
participate as wage laborers in mines opened in the region, which offered
greater economic benefits (Hu-DeHart 1984). For a period the Yaqui were able
to utilize the autonomy that the Jesuits encouraged, supplemented economic-
ally by their surpluses or work as wage laborers, to resist Spanish domination
and retain control of their homeland. They maintained this separation during
the War for Independence, during which the Yaqui and Mayo were essentially
passive observers and refrained from taking sides (Spicer 1962).
After Mexico gained independence, the Yaqui, along with all other indigenous
groups, were made citizens of the new nation and were therefore required
to pay taxes to and live under the authority of the Mexican government.
The Yaqui resisted these requirements and in 1825 Mexican troops were
sent to Sonora to collect taxes, protect non-Yaqui settlers, and force the Yaqui
to submit to the control of the Mexican government. This marked the begin-
ning of an extended period of oppression by the Mexican government and
continued resistance by the Yaqui, who organized revolts in 1825, 1827,
1857–62, and 1899. Each of the Yaqui rebellions in the nineteenth century
was met with efforts by the Mexican government to maintain “peace by force”
(Spicer 1962: 66), including several massacres of Yaquis and the persecution
and occasional execution of Yaqui leaders. The Yaqui continuously responded
by reorganizing their leadership and intensifying their resistance efforts,
including continued collaboration with the Mayo. A new state constitution
was enacted in Sonora in 1873, which decreed that Yaquis and Mayos be
denied citizenship if they “maintain the anomalous organization that they
have in their towns and rancherías, but allowing the enjoyment [of those
rights] to individuals of the same tribes who reside in the organized pueblos
of the state” (quoted in Spicer 1962: 67).
Political changes imposed by the Mexican government were compounded
by economic changes fueled by an influx of foreign capital. President Porfirio
Díaz prioritized national economic development during his rule (1876–1911, a
period in Mexican history known as the Porfiriato). Díaz, with the cooperation
of Luis Torres, the governor of Sonora, established a development program
in Sonora that called for “colonization and fruitful exploitation of the rich
river lands of the Yaqui and Mayo” (Hu-DeHart 1984: 99).
In particular, the construction of the Sonoran Railroad intensified the
oppression of the Yaqui. The Yaqui revolts and general hostility towards the
Heidi J. Bauer-Clapp and Ventura R. Pérez 175
cuartel, Yaqui men were sorted into three lines. Men in one line were to be
killed; men in the second line were to be deported; men in the third line were
released to work another week” (Moisés et al. 1971: 25). The forced labor,
deportations, and splitting up of families characteristic of this time resulted
in several rescue-style raids on haciendas in Sonora by Yaqui warriors.
On May 31, 1902, the New York Times (1902c) ran the following story:
YAQUI INDIANS ON WARPATH
Kill the Governor of a Ranch and Make Several Raids
TUCSON, Arizona, May 30.-The Yaqui Indians are again on the warpath. On
Tuesday a band of Yaquis visited La Carmen, a hacienda near Hermosillo, and
killed the governor of the ranch and a servant, besides carrying off the provisions
and taking away the best stock on the place. Another band visited the ranch of Don
Juan Maytorena, near Guaymas, and raided it. The occupants escaped when they
saw the Indians approaching. Several other haciendas were visited and robbed. The
situation is serious.
front, as the latter expected, rounded the mountain and in the morning surprised the
camp of Indians from the haciendas. At the first volley the entire party, except those
who were wounded or killed on the spot, ran down the mountain, most of the
women and the armed guard directing their flight through the barranca. The soldiers
following killed many here and took the rest prisoner. In one part of the gulch
resistance was offered by the armed guard. The main armed body of the Yaquis was
too far away to actively participate, and when the panic began, that part, with some
of the men from the haciendas, escaped over the mountain.
General Luis Torres’s official account of this encounter records the Yaqui
fatalities: 78 men, 26 women, and 20 children. He records 234 Yaqui taken
as prisoners – but does not include in that number male children under the age
of 10 – and one injury and no fatalities among the Mexican troops (Troncoso
1977).
The US papers of the time began reporting on the Yaqui fighting around Sierra
de Mazatán on June 5, 1902. The New York Times (1902b) ran a story entitled
“Yaqui Indian Uprising,” which mentions the Yaqui fighting in the Mazatán
Mountains specifically. The article also states that it was estimated that there
were 1000 well-armed Yaqui assembled in the foothills and that the Mexican
soldiers were outnumbered and short of both arms and ammunition. On June 8,
the same day as the massacre at Sierra de Mazatán, the New York Times
(1902a) ran another article entitled “No War with Yaqui Indians,” in which
General Torres denounced the reports of war between the Yaqui and the
Mexican troops in Sonora. Torres insisted that the only war that existed was
in the mind of the correspondents along the border and that all that was going
on was minor skirmishes. As stated above, both President Diáz and General
Torres had a vested interest in maintaining regional stability (or at least the
image of stability) to keep the influx of foreign capital flowing into Sonora.
All of this might have remained simply a footnote in history had it not
been for the actions of Aleš Hrdlička. Hrdlička, an American physical anthro-
pologist, was traveling in Mexico at the time, conducting research for the
American Museum of Natural History (AMNH) under the auspices of the
Hyde expedition. Three weeks after the Sierra de Mazatán event, Hrdlička,
escorted by rurales, traveled to the site and found the bodies of the Yaqui lying
where they had fallen. In one area the bodies of 12 women and a little girl
were heaped together; he also found two areas in which rows of men had been
executed and a cradle-board with the body of a dead infant still secured to it.
Hrdlička (1904: 66) stated: “My object in visiting the place was to obtain
178 Heritage value of skeletal remains
skeletal material, in which I was successful; but most of the skulls, whether
from a peculiar effect of the Mauser cartridges or from the closeness of the
range, were so shattered as to be of no use.” He collected skeletal remains
from 12 individuals, packed them in a zinc-lined box filled with sawdust and
shipped them to AMNH (Hrdlička n.d.: 452). He also collected weapons,
articles of clothing and jewelry, and the cradle-board (Hrdlička 1904).
On his way to Sierra de Mazatán, Hrdlička passed the body of a Yaqui man,
who had been executed the day before, hanging from a tree. He photographed
the man from three different angles, taking the time to pose the body
(he removes the man’s hat for one photograph and then places it back on the
man’s head in another photograph). Days later he collected the man’s cranium
after the man’s body had been cut down and partially burned.
In 1904 Hrdlička reported on his trip to Sonora in the American Anthropolo-
gist article “Notes on the Indians of Sonora, Mexico.” He referenced his trip
to Sierra de Mazatán and the battle that had taken place prior to his arrival
(quoted earlier in this chapter). He showcased the artifacts collected and made
reference to the 12 skulls in a table highlighting cranial measurements
designed to identify “tribal differences in the various body dimensions”;
he argued that “when these [differences] can be eliminated or explained, there
is good prospect of reducing all the numerous ethnic divisions” of Sonora
(Hrdlička 1904: 86).
1
Here we are constructing the idea of structural violence around Bourgois’ (2003) idea of “social
suffering,” Farmer’s (2004 and 2006 et al.) concept of “structural violence,” and Scheper-
Hughes’s (1992) ideas of “everyday violence.”
180 Heritage value of skeletal remains
Accession
number Trauma Pathologies
All skeletal remains were examined for evidence of pathologies and ante-
mortem and perimortem trauma. Again, the small number of skeletal elements
present limited the data that could be collected. Our data do allow us to explore
individual-level evidence of stress and trauma, and, indeed, every one of the
13 individuals displays evidence of biological stress and/or trauma. Of the
individuals represented by a cranium, two-thirds (8 of 12) exhibited at least
one linear enamel hypoplasia (LEH) and two-thirds (8 of 12) exhibited healed
or healing porotic hyperostosis or cribra orbitalia; 42% (5 of 12) exhibited
both. Our ability to contextualize these indicators of stress (Goodman and Rose
1991; Walker et al. 2009) is limited, but historical accounts indicate that
oppression of the Yaqui continuously intensified after the 1825 Yaqui revolt,
the time period that would have encompassed the lifetimes of these 13
individuals. Forbes (1957) estimates that over 75% of the Yaqui population
Heidi J. Bauer-Clapp and Ventura R. Pérez 181
of Sonora was landless by 1890 and those not settled on Yaqui homeland
experienced food shortages. In addition, the pattern of LEH distribution
suggests multiple stressful episodes within an individual’s lifetime: four
individuals display more than one LEH on the same tooth. Evidence of
antemortem trauma includes two individuals with healed broken noses; one
of these individuals also exhibits a healed cranial fracture. The postcranial
remains exhibit lipping on L5 and the base of the sacrum.
These data provide individual-level glimpses of stress, yet limitations of
the skeletal sample (e.g. small size, limited range of skeletal elements present,
exclusively male) restrict our ability to identify population-level patterns
regarding trauma and health. In addition, there are no skeletal datasets avail-
able with which to make specific comparisons about the biological health
of the Yaqui pre- and post-contact or during different periods after the time
of European contact. Interpretation of these data is further complicated by the
fact that porotic hyperostosis and enamel hypoplasias are prevalent in other
populations from the broader geographic region dating from both pre- and
post-contact periods (see, for example, Martin et al. 1985; Palkovich 1987;
Stodder 1994; Stodder et al. 2002) and reflect a variety of etiologies. Thus
biological markers of stress as evident on the skeletal remains that we exam-
ined are not on their own sufficient evidence to theorize structural and direct
violence as experienced by the Yaqui. In summary, our biological data
allow us to suggest that the individuals we observed were subject to stressful
episodes, while our historical research suggests that much of this stress experi-
enced by the Yaqui was related to cultural marginalization. The complexities
of the biological and historical data underscore the value of considering these
forms of evidence holistically.
Figure 11.2. Exit wound for 99–3974 (left); entrance wound of 99–3973 (right).
eye (Figure 11.2). The entrance wound is consistent with a high-velocity round
entering the skull with minimal deformation because of rapid penetration and
absorption of the kinetic energy by the primary fracture or entrance wound.
Two individuals exhibit evidence of blunt force trauma. One individual
(99–3980) exhibits two fractures: one on the occipital near lambda and one
radiating fracture extending up and around the right parietal nearly to the
coronal suture. The shape and dimensions of the fracture (Figure 11.3) are
consistent with the butt of a Mauser rifle (as measured by the authors from an
example in the National Firearms Collection at the Smithsonian Museum of
American History), which was standard issue for the Mexican army at this
time. Individual 99–3979 exhibits evidence of blunt force trauma on the right
occipital and temporal. This individual also exhibits at least three radiating
fractures and additional fractures on the opposite side of the cranium. The
severity of the fractures on both of these skulls suggests the assailant was
striking the victim with a heavy weapon propelled with great force.
Three individuals exhibit evidence of sharp force trauma with a total of
23 cut marks identified. For each incidence of sharp force trauma we recorded
the location, position, length, width, depth, shape, and direction. After data
were collected, a vinyl polysiloxane impression was made of the cut marks.
Positive casts were then produced, creating an exact replica of the cut
marks. These in turn were thin-sectioned and examined microscopically.
Microscopic analysis allowed us to identify the geometry of the cut marks as
well as to verify the maximum depth and width. These measurements allowed
the determination of the amount of soft tissue present on the remains during the
time of processing.
Of the three individuals displaying sharp force trauma we identified one
incident of perimortem sharp force trauma likely related to the massacre event.
In this individual the cut marks are clustered around the right side of the
cranium near the external auditory meatus. Two of these cut marks were
Heidi J. Bauer-Clapp and Ventura R. Pérez 183
produced by a slicing motion; the cut mark pattern and location suggest that
the ear was cut off around the time of death. The two other individuals exhibit
cut marks that appear to be associated with Hrdlička’s actions when collecting
the skeletal remains. One individual exhibits a chop mark located on the left
lateral aspect of the posterior portion of the ascending ramus. This was likely
produced as Hrdlička was removing the cranium from the body. Additional
cut marks on these two individuals appear to be related to Hrdlička’s efforts
to deflesh his specimens after his return to AMNH.
These skeletal data were analyzed in context with four additional lines
of evidence to categorize the participation of various groups and individuals
in the June 8, 1902, event at Sierra de Mazatán. These were: (1) material culture
collected from Sierra de Mazatán by Hrdlička; (2) historical documents;
184 Heritage value of skeletal remains
(3) Hrdlička’s journal and photographs; and (4) existing literature on the Yaqui
of Sonora. These multiple lines of evidence suggest that this encounter between
Mexican troops and the Yaqui should be classified as a massacre rather than a
battle. The Yaqui were overpowered by the Mexican army and had significantly
fewer and less sophisticated weapons than the soldiers. Approximately
900 Mexican troops attacked a group of Yaqui that likely included a greater
number of people, but it is important to remember that the number of Yaqui
included men, women, children, and elderly individuals. Recall also that at
the time of the encounter the Yaqui were split into two groups – the group that
eventually faced the Mexican army included only 20 armed men.
Perhaps more significant than the number of individuals involved is the
weaponry each side had at its disposal. Historical accounts, including Hrdlička’s
journal and his 1904 article, indicate that only the 20 Yaqui guards were
armed with guns and ammunition. The rest were armed with bows and arrows,
spears, and a macana (a type of knob-headed club) collected by Hrdlička.
Hrdlička’s written accounts and photographs detail the aftermath of
an extremely violent event – he labels one photograph of victims as the
“Slaughter Den.” However, without the context of unequal resources – both
people-power and weapons – these sources of evidence could be viewed as the
remnants of a hard-fought battle resulting in casualties for both sides. As stated
earlier, there were no fatalities reported among the Mexican troops, yet the
army reported 124 Yaqui fatalities. In addition, it is interesting to note that
Hrdlička describes the massacre in no uncertain terms in his journal: “It was a
massacre here and more than one of the rocks was still bespattered with dried
blood or brains of the victims. But the most pathetic sight was th[e] heap of
bodies of killed women among the rocks to one side of the gulch.” (n.d.: 451).
Yet in his 1904 publication for American Anthropologist Hrdlička does not
use the term massacre and in fact refers to the site at Sierra de Mazatán as a
battlefield. Our historical research suggests that the Yaqui were outnumbered
by an army with vastly superior firepower, thus the level of trauma evident in
Hrdlička’s records, the material culture, and the skeletal remains become
further evidence for a massacre of the Yaqui by the Mexican army rather than
a battle fought with relatively equal resources on both sides.
11.4 Repatriation
After completing our analysis of the human remains we brought this infor-
mation to the attention of Robert Valencia (Vice Chairman of the Yaqui tribe),
and he in turn brought it to the Pascua Yaqui tribal council. This started
the repatriation process. Complex negotiations were required to establish how
various Yaqui tribal groups in the USA and Mexico would be involved
Heidi J. Bauer-Clapp and Ventura R. Pérez 185
before a formal request was made to AMNH for repatriation of the Yaqui
skeletal remains and objects of material culture. AMNH agreed that they would
return the human remains and material culture to the Yaqui if the National
Institute of Anthropology and History (INAH) in Mexico would permit it.
After several long negotiations with the regional INAH office in Sonora
and the national office in Mexico City it was decided that AMNH would
turn the material over to INAH and they would then return the material to the
Yaqui. It was also decided that this transfer of power would take place during
a formal signing ceremony in New York at AMNH during the fall of 2009.
After the ceremony the Yaqui delegation brought the Yaqui remains back to
their homeland. The delegation was met by ceremonial dancers and the Yoeme
American legion post color guard who then processed with the remains to
the church so the community could pay homage to their relatives. Vice
Chairman Valencia observed that even though we (the bioarchaeologists)
could not provide specific identifications for any of these individuals, the
community felt that they deserved the full honors generally reserved for elders
in high standing (Figure 11.4).
The repatriation of the guerreros (“warriors”) Yaqui had tremendous impact
beyond the descendant community via coverage and discussion in countless
Figure 11.4. On November 16, 2009, the remains of the Yaqui were baptized and
ceremonially interred in Viacam, Mexico.
186 Heritage value of skeletal remains
blogs, websites, and news articles. This is because the cooperation and speed of
this international repatriation was unprecedented. However, it was not precedent-
setting. It is important to remember that one of the principal reasons this repatri-
ation was allowed to go forward is that the collection was not considered
archaeological material by AMNH or INAH but rather it was seen as a historic
massacre site and thus a human rights issue. Thus AMNH did not give material
collected in Mexico to a culturally affiliated US federally recognized tribe as part
of the Native American Graves Protection and Repatriation Act (NAGPRA), and
INAH did not return archaeological material to a Mexican tribe.
For the Yaqui people this repatriation had a profound impact on the
community and reopened old wounds and traumatic memories. The social
reality of the Yaqui people was affected by the lives, deaths, and prolonged
burial and grieving process for los guerreros. Their repatriation and their
stories stirred memories of violence that had a profound impact on generations
of people who had not directly experienced the violence but whose mothers,
fathers, and grandparents had.
We often ask ourselves what would have happened if our ancestors had not fought to
conserve our territory for the generations of today? A great uncertainty comes over
us, and we deeply value the bravery of our ancestors who gave their lives to inherit a
wide area of land that, to us, clearly denotes the “Yaqui territory”. These stories are
the ones that sustain us on a daily basis. All Yaquis, from a very tender age, listen to
tales that speak not only of the struggle and resistance of our distant ancestors but
also of our living old folk. (Molina 2000: 99)
This quote demonstrates the tremendous value that the Yaqui place on know-
ing and understanding their heritage. Heritage values and activities make the
past a dynamic part of the present and future. In the case of the Yaqui skeletal
remains, the bioarchaeological analysis provided a framework under which the
bodies of the dead become a site of heritage. Human remains are themselves
“objects” of material culture, as they can bear artifacts of cultural, political,
social, and historical experiences (Douglas 1966; Foucault 1973; Pérez 2012;
Scheper-Hughes and Lock 1987; Sofaer 2006; Verdery 1999). This includes
tangible proof of violent pasts that can attest to various forms of suffering
(Moore 2009; Moshenska 2009) and serve as a form of “truth-telling” when
violent pasts are ignored or denied (Williams 2007).
During ceremonies and activities associated with the repatriation of the
Yaqui remains, one of the authors of this chapter (VRP) was asked, along
with a colleague, Dr. J. Andrew Darling, to give a series of presentations to the
tribe. We were given the great honor of sharing the story of los guerreros with
Heidi J. Bauer-Clapp and Ventura R. Pérez 187
Figure 11.5. As part of ceremonies and activities associated with the repatriation
Ventura Pérez was asked to show the children the skeletal remains and explain the
evidence of violence so that the children could understand the sacrifice of the earlier
generation.
the children of the Rio Yaqui at the pueblo of Vicam, including showing them
how we (bioarchaeologists) learn about their ancestors by studying the skeletal
remains (Figure 11.5).
Meanings and knowledge associated with the bodies of the dead are recog-
nized and shared to convey particular messages – in the case of the Yaqui, the
body becomes a vehicle for telling the story of past violence because the body
itself reflects evidence of that violence. Because “the skeleton represents
human life at its most universal, stripped of the apparent differences that can
divide the living” (Alberti et al. 2009: 135) there is perhaps no more powerful
political statement than to use the bodies of victims of violence as a means for
others to reflect on the meanings and impacts of violence.
11.6 Conclusion
Acknowledgments
We thank Dr. Debra Martin and Cheryl Anderson for inviting us to participate
in the special poster session at the 81st Annual Meeting of the American
Association of Physical Anthropologists and contribute to this volume. We
are grateful to the leadership of the Pascua Yaqui and traditional Yaqui in
Mexico, particularly Vice Chairman Robert Valencia, for their guidance and
collaboration on this project and allowing us to use photographs of the skeletal
remains and reburial of their ancestors. This research benefited significantly
from the efforts of our colleague Dr. J. Andrew Darling. We would also like
to thank Dr. Randall McGuire and María Elisa Villalpando Canchola. Finally,
we are grateful for the helpful comments offered by one anonymous reviewer.
Any errors or omissions remain our responsibility.
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192
Kathryn M. Baustian 193
12.2 Background
This case study examines evidence for shifts in social structure among moun-
tain Mogollon Pueblo populations during the fourteenth century AD. The
specific region of study is the Grasshopper Plateau, located in the mountains
of east-central Arizona. Populations occupying this region engaged in a
hunting and gathering subsistence early in their chronology and shifted toward
a reliance on agriculture later on. The mountainous landscape has been
described as poorly suited for intense agriculture (Reid and Whittlesey
1999), therefore adaptation was likely a key factor for successful life in the
region. Unsuccessful adaptation to such a lifestyle may have ultimately led to
depopulation of the area by AD 1400, however.
The Grasshopper community experienced major growth during the late
thirteenth and early fourteenth centuries AD. Three major room blocks (1, 2,
and 3) and several smaller room blocks were constructed and expanded as
migration in the region led to aggregation of a large population (Figure 12.1).
Movement of both Ancestral Puebloan and Mogollon populations during this
time resulted in several multiethnic communities, Grasshopper Pueblo being
the largest (Riggs 2001). Archaeological excavation of a large portion of the
194 Skeletal trauma at Grasshopper Pueblo
Figure 12.1. Main room blocks at Grasshopper Pueblo (from Baustian et al. 2012).
12.3 Analysis
The skeletal assemblage from Grasshopper Pueblo was analyzed at the Arizona
State Museum in Tucson, Arizona. Of the 674 burials in the assemblage,
individuals of approximately 15 years and older were analyzed. Poor preserva-
tion and extensive fragmentation prevented inclusion of some individuals and
ultimately a sample of 187 adult skeletons was included in the analysis.
Individuals in the sample had been excavated from numerous areas of the
settlement, including room blocks, plazas, extramural areas, and the Great Kiva.
These individuals represent both early and late period Grasshopper burials.
A biological profile was established for each individual using standard
osteological techniques outlined by Buikstra and Ubelaker (1994). Patho-
logical processes such as infectious disease and evidence of physical stress
were documented, and additional analyses were completed to document trau-
matic injuries of the cranium and postcranial skeleton. Both lethal (unhealed)
and non-lethal (healed) injuries can offer information about interpersonal
conflict and the use of violence among past populations (Brink et al. 1998;
Scott and Buckley 2010; Walker 1989, 1997, 2001). For communities such as
196 Skeletal trauma at Grasshopper Pueblo
12.4 Results
Results of the analysis of the Grasshopper Pueblo sample have previously been
reported by Baustian and colleagues (2012), but are summarized here again.
Kathryn M. Baustian 197
Male 40% (8/20) 30% (12/40) 31% (5/16) 50% (1/2) 33% (26/78)
Female 41% (17/41) 17% (6/36) 33% (7/21) 80% (4/5) 33% (34/103)
Indeterminate sex 67% (2/3) 0% (0/1) 50% (1/2) 0% (0/0) 50% (3/6)
Total 42% (27/64) 23% (18/77) 33% (13/39) 71% (5/7) 34% (63/187)
Burial Age: lower Age: upper Age CDFs Burial Occupation Average
number Sex estimate estimate category present Origin location period depth of CDFs
Burial Age: lower Age: upper Age CDFs Burial Occupation Average
number Sex estimate estimate category present Origin location period depth of CDFs
Burial Age: lower Age: upper Age CDFs Burial Occupation Average
number Sex estimate estimate category present Origin location period depth of CDFs
Burial Age: lower Age: upper Age CDFs Burial Occupation Average
number Sex estimate estimate category present Origin location period depth of CDFs
N/A ¼ Not available. Origin and occupation period data from Ezzo (1991; 1992; 1993) and Ezzo and Price (2002).
Kathryn M. Baustian 205
Figure 12.2. Distribution of CDFs on crania from males, females, and individuals of
indeterminate sex (Baustian et al. 2012).
CDFs were not incurred in any particular patterns among the crania of either
males or females. Most CDFs were located on the front and sides of the head,
affecting the frontal and left and right parietal bones (see Figure 12.2 for a
composite distribution of all CDFs). There was approximately the same
number of injuries to each bone for males and females; however, the left
parietal was an exception, with twice as many (n ¼ 16) CDFs among women
than among males (n ¼ 8).
MSMs were assessed to determine patterns in physicality among the assem-
blage. No major patterns were observed and differences in development
between the sexes and age groups were as expected (Milella et al. 2011);
males exhibited slightly higher rugosity levels than females and older adults
had slightly higher rugosity levels than younger adults. Comparing MSM
development with presence or absence of CDFs, results did not indicate
frequent co-occurrence. These data do not show any patterns among the
Grasshopper Pueblo assemblage and the MSM data in particular, and are
generally consistent with findings by Perry (2008).
206 Skeletal trauma at Grasshopper Pueblo
Number Time
Burial Sex Age of CDFs period Origin Comments
12.5 Discussion
The data presented are useful in consideration of theories regarding the role of
violence at Grasshopper Pueblo. Trauma observed among the human skeletal
Kathryn M. Baustian 207
remains indicates that many people (approximately one-third of the males and
females) experienced direct interpersonal violence at some point in their lives.
The following discussion addresses possible contexts in which cranial injuries
occurred.
12.5.1 Warfare
Warfare in the Grasshopper Plateau region has not been identified as easily as
that in other regions farther north (i.e. San Juan region) (LeBlanc 1999).
During the Pueblo IV period, conflict increased throughout the northern
Southwest as the environment deteriorated and tension rose among popula-
tions. Tuggle and Reid (2001) agree that this increasing conflict played a role
in population migration and aggregation of pueblos on the Grasshopper
Plateau. These authors describe the location of sites and architectural design
as evidence of defensive intent. They do not, however, believe that internal
violence and external aggression were present at Grasshopper Pueblo during
its occupation or throughout abandonment of the community. Acts of large-
scale warfare have not been identified at Grasshopper Pueblo (Reid and
Whittlesey 1999; Tuggle and Reid 2001). The trauma data in this analysis
include only a few occurrences of perimortem or lethal injuries (e.g. scalp
marks, unhealed cranial fractures) commonly observed in warfare contexts.
features was not common either. This most likely suggests that captives were
not present at Grasshopper, but other studies have documented similar patterns
in which captives became fully integrated or adopted into the society of their
captors (Wilkinson 1997). Even when physical abuse was part of that process,
captives often were treated as all others in the community for many activities,
including burial practices. At Grasshopper Pueblo, burial styles among indi-
viduals do not deviate from typical patterns (see also Allen et al. 1985).
Collectively, this evidence does not indicate subgroups in the sample that
might represent captives but it cannot exclude them either if they were
assimilated into the larger community.
The differential sex and age representation among the burial population and
other data have also suggested the possibility of warfare refugees at Grasshop-
per Pueblo (Lowell 2007). The presence of non-local women and children has
been confirmed by isotope data by Ezzo (1991; 1993); however, he asserts that
intermarriage with non-local women can explain many of the migrants present
(Ezzo and Price 2002). This study demonstrates the presence of conflict in the
region which can lend support to theories of war refugees at Grasshopper
Pueblo. If, as Lowell (2007) suggests, males were engaged in warfare farther
away from the community, the observed sex and age distribution in the sample
may be a result. Ultimately, however, refugees of war cannot be excluded as
members of the community and the data from this study cannot refute their
presence because healed cranial injuries among non-locals could have
occurred at any point during their lifetime.
12.6 Conclusions
The rate of cranial injuries among the Grasshopper population is high, and this
cannot be ignored. Compared to rates of non-lethal cranial trauma among other
western North American populations, Grasshopper is the highest, at approxi-
mately 34%. A survey by Walker (1989) noted high rates of 18% for the
northern Channel Islands and 30% for the Baja California region, but only
1–9% for all other western North American populations. It is surprising that
the numerous analyses of Grasshopper human skeletal remains have not noted
the extent of cranial trauma documented in this study (see also Baustian et al.
2012). Whittlesey (1978) noted a lack of violent deaths as indicated by skeletal
markers such as scalping cut marks or unhealed fractures. One study of 163
crania (Birkby 1982) even went so far as to discuss the lack of violently
induced trauma as evidence of peaceful and cooperative alliances between
populations in the region during this time of environmental degradation. Even
if warfare was not a frequent occurrence, data from this analysis indicate that
violence was common in daily affairs.
Because all factions of adults in the community experienced cranial trauma
equally, it is difficult to contextualize these results and form definitive explan-
ations for the violence that is indicated. Ubiquitous interpersonal conflict likely
explains much of the non-lethal trauma among the Grasshopper Pueblo popula-
tion. Studies of health suggest worsening health throughout occupation of the
region (Berry 1985; Hinkes 1983), and larger population size could have
precipitated greater infectious disease, poor sanitation (Ezzo 1993), and
increased competition for resources. These factors collectively indicate an envir-
onment of heightened stress that could have promoted opportunistic raiding.
The fact that little perimortem trauma was observed indicates that it either
did not occur frequently or injuries were intended to subdue rather than kill an
individual. It does not seem that lethal violence was prominent in this commu-
nity; however, scalping data suggest otherwise. It is important to note that
trauma to the body may only affect the skeleton up to 40% of the time, with the
majority of injuries affecting soft tissue only; therefore skeletal analysis likely
underestimates physical impairment in the past (Judd 2002; Walker 2001).
Kathryn M. Baustian 211
References
Allen, W., Merbs, C. F. & Birkby, W. H. (1985). Evidence for prehistoric scalping at
Nuvakwewtaqa (Chavez Pass) and Grasshopper Ruin, Arizona. In: Merbs, C. F. &
Miller, R. J. (eds.) Health and Disease in the Prehistoric Southwest. Tempe:
Arizona State University, 23–42.
Baustian, K. M., Harrod, R. P., Osterholtz, A. J. & Martin, D. L. (2012). Battered and
abused: analysis of trauma at Grasshopper Pueblo (AD 1275–1400). International
Journal of Paleopathology, 2, 102–11.
Berry, D. R. (1985). Dental pathology of Grasshopper Pueblo, Arizona. In: Merbs, C. F. &
Miller, R. J. (eds.) Health and Disease in the Prehistoric Southwest. Tempe: Arizona
State University, 253–74.
Birkby, W. H. (1982). Biosocial interpretations from cranial non-metric traits of
Grasshopper Pueblo skeletal remains. In: Longacre, W. A., Holbrook, S. J. &
212 Skeletal trauma at Grasshopper Pueblo
13.1 Introduction
Bioarchaeological and Forensic Perspectives on Violence: How Violent Death is Interpreted from
Skeletal Remains, ed. D. L. Martin and C. P. Anderson. Published by Cambridge University Press.
© Cambridge University Press 2014.
216
Elizabeth M. DeVisser et al. 217
victims and returning them to their families. The history of Patio 29 and the
forensic team at the SML are inextricably linked.
Fundamental changes in national identity resulted as a direct outcome of the
Patio 29 identification efforts. The SML underwent an extraordinary trans-
formation in 2006, all because of the devastating consequences of misidentifi-
cations of Patio 29 victims. The SML emerged more informed and dedicated to
employing comprehensive contemporary scientific protocols to human identi-
fication in Chile.
National identity requires membership in the collective memories of the nation.
Fear and aggression break the bonds of national identity. Systematic extermin-
ation destroys it. The forensic team, including anthropologists at the SML provide
a necessary function to restoring membership by giving a name to the victims.
representatives from each branch of the military, served as the executive and
legislative branches of the nation. Immediately following the coup, between
2000 and 10 000 civilian casualties resulted from junta violence (Kornbluh
2004), though they admitted to only 244 fatalities. The military junta detained
over 13 000 people and specifically targeted individuals who were officials of
the Allende government, politicians who did not support the coup, activists,
union members, and factory employees (Loveman 1986; Wyndham and Read
2010). Over 1100 detention camps were constructed across the Chilean
landscape. Prisoners were also housed at the National Stadium (Estadio Nacio-
nal) and Chile Stadium (Estadio Chile), where they were interrogated and
tortured (Kornbluh 2004; Rector 2003; Zalaquett 1985). In many circumstances
detention resulted in execution, with the bodies of the deceased dumped in the
street, left in the Mapocho River, thrown into the ocean, or buried in secret in
mass graves (Wyndham and Read 2010). Over 3215 (according to the Valech
Report, 2011 version) people disappeared during the militarized government,
most of them between 1973 and 1978 (Grandin 2005; Reconciliación and
Berryman 1993). The Chilean secret police, the Directorate of National Intelli-
gence (DINA) and later the National Center for Information (CNI), covered up
the crimes, stating that the magnitude of human rights violations was a natural
consequence of being at war. According to the “official” record, the military
coup saved Chile from socialism and communism while bringing Chile back
from the brink of chaos. Defeating Communism and the “Marxist cancer” that
had invaded Chile became the regime’s primary goal, and enemies of the state
were effectively removed from existence (Loveman 1986; Spooner 2011).
Pinochet controlled the populace through mass media interventions, firmly
establishing a fear campaign designed to eliminate any supporters of socialism.
Censorship became the regime’s tool to calm the public and keep their
clandestine activities secret (Loveman 1986). Many prominent authors,
writers, journalists, and musicians, most notably Victor Jara, were murdered.
Anything that “endangered morality, public order, national security or the
private life of citizenry” (Montaner 1988) was silenced. The military junta
was successful in keeping this tight control over subversives and succeeded in
silencing the voices of the opposition for 17 years.
The factual history of the atrocities caused by Pinochet’s regime did not
officially surface until after Pinochet relinquished power in 1989. When Presi-
dent Patricio Aylwin was inaugurated in 1990, he assumed power of a nation that
had experienced tremendous changes and pressures over the past 17 years. The
economy was growing, yet 40% of the population fell below the poverty line
(Rector 2003). President Aylwin also had to confront the most difficult challenge
created by Pinochet’s regime – the fate of over 3000 Chileans was still unknown.
The 1990s marked Chile’s transition back to a democracy, but numerous
obstacles conspired against the new administrations and prevented them from
222 Forensic anthropology and national identity
reconciling the demands of the families with quick resolution. Either because
of sly judgment, or perhaps anticipating future accountability, Pinochet
decreed in 1978 that the state agents who committed crimes between Septem-
ber 11, 1973 and March 10, 1978 be given amnesty under the constitution
(Brody 2008; Collier and Sater 2004; Kornbluh 2004; Rector 2003). The
Supreme Court upheld the decree but declared that the government could
investigate instances of human rights abuses. President Aylwin, with an
emphasis on “truth and justice as far as possible,” appointed an investigative
congressional committee, the National Truth and Reconciliation Commission
(NTRC), which had investigative power but lacked prosecutorial authority
(Ensalaco 1994; Zalaquett 1993). Jose Zalaquett, a leader of the commission,
notes that the commission “was the cornerstone of a transitional policy aimed
at the moral (and political) reconstruction of our society after a period of tragic
breakdown. . .” (Grandin 2005; Reconciliación and Berryman 1993).
According to Benedict Anderson (1991), modern-day truth commissions
have been powerful instruments in the creation of nationalism. The NTRC, or
“Rettig Commission,” named for the head of the commission, Raul Rettig,
obtained testimonies from thousands of detainees and family members of the
disappeared. The report documented the violence executed by the military
under the auspices of General Pinochet and the DINA/CNI that resulted in
death. The NTRC was the first effort by a governmental agency in the post-
dictatorship government to address and publicly acknowledge the atrocities of
the Pinochet regime. The Rettig Report not only uncovered the nefarious deeds
of the Pinochet regime, but also unearthed sites of numerous mass graves
located throughout Chile (Zalaquett 1993).
13.5 Patio 29
Patio 29 stands as one of the most notorious and well-known large burial sites in
Chile. The burial ground rests within the heart of Santiago in the country’s
largest cemetery, Cementerio General. The General Cemetery is not simply a
graveyard, but a small city with tree-lined avenues and parks often named after
famous Chilean leaders, thinkers, and artists. The cemetery is sectioned into
patios, or courtyards. The more prosperous sections contain mausoleums,
marble statues, and formal masonry. The humbler areas to the north are reserved
for those of lower socioeconomic status (Wilde 2008). Nestled within this area is
Patio 29 (Figure 13.1), a large overgrown field of simple tin crosses, all bearing
the initials “N.N.” for “No men Nescio” Latin 8 or “Name unknown.”
Patio 29 was the largest collective effort by the Pinochet regime to hide their
crimes. Directly following the coup, bodies began piling up in the city morgue
Elizabeth M. DeVisser et al. 223
as they were recovered from the middle of streets, alleyways, and even floating
in the river. The bodies decomposed in the hallways of the morgue as the
freezers began to fill. Urgency, combined with pressure from the adminis-
tration, forced morgue employees to perform “economic autopsies” (Servicio
Medico Legal 2010). Such autopsies were incomplete and many of the reports
did not even contain identifying information for the decedent. Nonetheless, in
most cases fingerprints were taken if the state of decomposition allowed and
stored with the individual’s file (Servicio Medico Legal 2010; Wyndham and
Read 2010).
Disposal of these bodies was a primary concern. Orders came in to cremate
the remains, but were quickly rescinded. The military regime ordered secret
burials and a perfect site was Patio 29. Seclusion, adjacency to the morgue, and
the availability of 320 open plots provided a hiding spot in plain sight. Regular
coffins were in short supply, so morgue staff created makeshift coffins from
whatever materials were available. Some of the makeshift coffins contained
two or more individuals. When presented with this information, Pinochet
224 Forensic anthropology and national identity
located and only 126 people were recovered. Individuals exhumed from
Patio 29 ranged in age from 14 to 60þ, but the majority of them were between
the ages of 20 and 30 years old. All individuals except four were male. Ninety-
six of the decedents were returned to their families by 1998, but many could
not be identified and were kept under the custody of the SML. New infor-
mation surfaced in 2006 suggesting that 48 of the 96 individuals had
been clearly misidentified (Servicio Medico Legal 2010; Wyndham and
Read 2010). This crisis led to a complete restructuring of the human rights
identification division of the SML and presented a dilemma for future
identification efforts.
the Patio 29 graves be exhumed for genetic testing. Genetic tests revealed that
at least 48 of the cases were misidentified and 37 were inconclusive (Servicio
Medico Legal 2010). The impact of these results was staggering, not only for
the families who had subsequently moved on in the grief process, but for the
public and for the SML.
Trust had slowly begun eroding since the exhumations occurred and became
a reality in 2006, when the misidentifications became public. The government
suppressed two reports that revealed systematic incompetence within the SML.
A report on the Patio 29 recoveries issued in 1994 urged the SML to change
their processes of identification drastically, as they were found to be inad-
equate and out of date. An independent forensic agency released another report
in 2002 stating that the credentials of the experts in charge of identification had
not been assessed and urged that all recoveries and identification procedures be
suspended. Families had to endure two separate disappearances and begin the
grieving process again. Victims’ families directly targeted the SML director
and accused the government of gross indifference, calling for the director’s
resignation despite a public apology. The blame then fell to two officers not
working at the SML at the time, but closely associated with identification
efforts. The officers exonerated themselves, stating that they did what they
could with the tools provided them. The inadvertent misidentifications were a
direct result of the inadequate identification protocols and pressure from the
government to identify the victims quickly and were believed to be accidental.
Nonetheless, the damage was already done – public opinion deemed the SML
negligent and indifferent.
Restructuring of the human rights division was the direct result of the
misidentifications of the Patio 29 victims; it was deemed that insufficient
scientific standards and insufficiently trained professional personnel contrib-
uted to the misidentifications of the victims (Servicio Medico Legal 2010;
Wyndham and Read 2010). To address these issues, the SML commissioned
international professionals to audit the processes of identification and pro-
vide guidelines for the recovery and analysis of human remains. The SML
modernized their identification system by hiring professional forensic senior
management and providing adequate training for all new staff. Additionally,
the SML provided auditing and training protocols as a system of checks and
balances and offered continuing education programs for their scientists with
institutions in the USA and Europe. As of 2010, 30 individuals from
Patio 29 have been identified by genetic analysis (Servicio Medico
Legal 2010; Wyndham and Read 2010). The case study below is represen-
tative of the tremendous work of the restructured Identification division and
of the methodical and meticulous forensic team most recently employed at
the SML.
Elizabeth M. DeVisser et al. 227
The forensic experts at the SML generate biological profiles for victims of
human rights abuses all across the country. Using the previous autopsy,
anthropology, and genetic profiles, the anthropologists attempt to reconstruct
the history of unidentified remains. Patio 29 victims remain a priority owing to
the high profile nature of the graves and continued support from the govern-
ment. The case study presented here provides an interesting example of the
initial Patio 29 identification issues. Further, this case demonstrates the com-
plex relationship that the forensic experts, particularly the anthropologists,
have with the victims’ families and the effect of bringing the deceased back
into the collective memory of the nation.
This individual was exhumed and identified by the SML staff in 1994 prior
to genetic testing. The decedent was returned to his family and subsequently
reburied. However, the parents did not truly believe this was their son and the
mother routinely called professionals at the SML voicing her opinion. The
individual was later returned to the SML when the court ordered genetic
testing for all Patio 29 victims.
The new biological profile generated by the SML suggested the decedent was
a young male between the ages of 16 and 24, stood about 168.0 cm (5.5 feet) tall
and was in generally good dental health. This young man was originally interred
in Patio 29 and buried in a makeshift coffin with another person in 1973.
Evidence of at least two bullet wounds were found in his cranium and other
gunshot trauma shattered his pelvis, left tibia, clavicle, humerus, scapula, and
vertebral column, particularly in the midthoracic region (Figures 13.2 and 13.3).
The newly generated profile was compared to the biological profile
constructed in the 1990s and several inconsistencies arose. First, prior age
estimates differed by approximately half a decade. Additionally, comparisons
to the original autopsy noted a healing fracture of the right clavicle, yet no
trauma to the right clavicle was observed on this skeleton. Finally, the DNA
did not match this individual to the family of the previously identified male.
The anthropologists returned to their files for any leads on the identification of
the skeletal remains and a match was discovered.
The newly identified decedent died several days after September 11, 1973. As
a known follower of President Allende, the military targeted the decedent for
execution. Found floating near the banks of the Mapocho River, gunshot wounds
had riddled his body. The morgue documented his fingerprints and he was buried
in Patio 29. He was identified and his records were on file at the SML for over 30
years. Nonetheless, his extermination and clandestine burial were obliterated
from the collective memory and he was lost. After 37 years of remaining in the
darkness, the decedent finally has his name and identity returned to his family.
228 Forensic anthropology and national identity
The above case study was chosen to highlight in this chapter for several
reasons. First, this case is representative of the enormous task facing the
forensic anthropologists at the SML. Most individuals from Patio 29 have a
common biological profile: they are males between the ages of 20 and 40 and
have severe gunshot trauma. Additionally, when confronted with few identi-
fying characteristics, the biological profile does not narrow the number of
possible matches and the forensic anthropologists must utilize a suite of other
documents fortunately retained by the previous SML staff. This case represents
the horror that too many Chileans endured but also stands as a symbol of the
reconciliation efforts of the Chilean government. Successful identification of
each individual exterminated during the Pinochet era remains the ultimate goal
of the anthropologists and staff at the SML. The forensic team return the lost
identity of victims, give peace to the grieving families by aiding in repairing
the old wounds of a fractured society, and act to restore faith in the
government.
Chilean identity was drastically altered during the shift from a democratic
society free from involuntary exclusion to one where systematic violations of
human rights reigned. In the Pinochet regime, an entire faction of the popula-
tion was eliminated. Fear, torture, aggression, and oppression resulted in
a fractured nation. To heal this rift, families of the disappeared and those
who experienced torture and abuse needed once again to feel acknowledged as
full members of the community. Examples in transitional justice have demon-
strated that concerted effort of public acknowledgment, reconciliation, and
reparation must be given to the sufferers for the families to begin healing
(Aukerman 2002; Barsalou 2005; Waldorf 2006).
Prior to the rise of the Pinochet dictatorship, Chileans had already experi-
enced a fracture in national identity (Miller 2006). Forced expropriations and
economic instability of the nation contributed to the growing fear of the nation.
The UP’s economic policies disenfranchised a large group of people, and any
sense of shared fraternity was effectively weakened. Fear and aggression
threatened the unity necessary to sustain a strong national identity. Forced
expropriations, strikes, and armed warfare in the rural regions set Chileans
against one another. When the government neglected to thwart such conflict,
fear increased among the people (Larraín 2006; Rector 2003). Fear is a
powerful motivator to action. Once fear takes hold, rational discourse is limited
and hostilities are intensified (Hutchison and Bleiker 2008). The Allende
opposition manipulated this fear, allowing the military to take hostile action.
230 Forensic anthropology and national identity
Pinochet’s attempt to erase the collective memories about his atrocities did
not succeed. While many people are still missing, there has been a concerted
effort by the successive administrations to address and acknowledge the human
rights violations. Although his hands were tied because of judiciary inaction
and impunity, President Aylwin set up the NTRC, which informed the public
about the truth of Pinochet’s duplicity. In 2004 the Valech Report was issued,
which registered over 35 000 cases of torture, and resulted in formal recogni-
tion by the Commander of the Army of its responsibility for these human rights
violations (Comisión Nacional de Verdad y Reconciliación 2004).
A forensic anthropologist’s job in Chile is not limited to human identifica-
tion. Anthropologists at the SML work very closely with families, and the
development of that relationship has a direct effect on public opinion concern-
ing identification efforts and reconciliation. The circumstances surrounding the
Patio 29 debacle demonstrate how tenuous the thread is that links forensic
anthropologists to victims’ trust in the government. Anthropologists and
families share a collective memory that strengthens group identity and, by
extension, national identity.
Fragile threads of trust eroded until the newly elected president, Michelle
Bachelet, matched government actions to the rhetoric. Previous administra-
tions failed to address the issue of Patio 29 effectively. Appointing a
well-meaning but untrained forensic team and ignoring international recom-
mendations set the agenda for a succession of failures in a high profile human
rights situation. Restructuring the SML allowed the government to demon-
strate its dedication to ensuring that victims and their families were recognized.
The professionals at the SML act as liaisons between the government and the
victims, and each human rights case offers an opportunity to heal the fractured
community. If the body is a core component in self-identity, and self-identity is
core to belonging in a community, then, if change occurs with the self, over
time these changes can affect relationships within the community. Thus, if a
family can find peace through identification of their missing relation, then their
feelings toward the government, and, by extension, the nation, can change.
The anthropologists at the SML work hard to mend this rift by re-initializing
the core of human identity into the community.
The dynamic shift of national identity specifically with regard to human
rights is realized in the cultural manifestations and shared symbols of the
nation. Historic symbols of Chilean identity have lost their power, primarily
because of their ubiquitous use by the Pinochet regime (Meade 2001). For
example, the extensive presentation of the Chilean flag now invokes memories
of repression and trauma in some Chileans. The same can be said for national
icons, such as La Moneda, which retain the memory of tragedy even today.
Not all symbols evoke negative feelings, however. The Chile Stadium
232 Forensic anthropology and national identity
(previously Estadio Chile) has been renamed Estadio Victor Jara in honor of
the notable musician who died in that location. President Bachelet inaugurated
a museum in Santiago in 2010 dedicated to commemorating victims of the
human rights atrocities (The Museum of Memory and Human Rights). Further,
President Bachelet proclaimed Patio 29 to be a historic national landmark.
Memorials are not simply about commemorating the dead, however.
A recent shift in the utilization of human rights memorials gives insight into
how Chile is changing. Villa Grimaldi is a former concentration camp used by
DINA to torture and execute the opposition. In 1997 the camp was redesigned
as a “park for peace” (Consejo de Monumentos Nacionales Ministerio de
Educación Gobierno de Chile, n.d.; Hite and Collins 2009). An example of
the shift in significance of Villa Grimaldi lies in the construction of a wooden
water tower that was once used to house prisoners. The water tower was
originally rebuilt to be viewed from all vantage points and serve as a constant
reminder of the atrocities that occurred. Currently, however, the water tower is
obscured from view by a large stage constructed for public events (Meade
2001). This historic landmark now serves a variety of purposes. Victims and
families gather to remember, mourn, and heal, while others use the site to
educate and even entertain as theater groups and musicians have begun
performing there (Hite and Collins 2009). Chilean national identity is dynamic,
an imagined community that responds to evolving relationships between the
victims, families, and the rest of the nation. Since monuments and commemor-
ations are symbolic representations and a public acknowledgment of identity,
then the utility of the monument is also dynamic. This transformation is
evidence that the national dialog of Chile is also changing.
Human rights issues were once a fringe movement in Chile. Recently, the
dialog has shifted and human rights issues are now of primary concern to a
large group of Chileans. Pinochet’s arrest in the late 1990s electrified victims’
rights advocates. Pioneered by the Rettig Report, numerous reports have
surfaced detailing the atrocities of the Pinochet regime. The reports established
the profundity of Pinochet’s clandestine operations and allowed the Justice
Department finally to take legal action. Pinochet was arrested in England and
extradited to Chile to begin trial hearings, but he was deemed unfit and was
never convicted. Armed forces personnel did not go unscathed, however.
Members of the armed forces were directly held accountable in national
tribunals and trials. The head of DINA, Manuel Contreras, is currently serving
25 life sentences totaling 289 years after he was convicted for his numerous
human rights violations, specifically torture, rape, and murder, and his involve-
ment in political assassinations in Chile and abroad. The government has
consistently made frequent efforts since 2006 to make reparations to the
victims’ families and to put all effort into finding truth and obtaining justice.
Elizabeth M. DeVisser et al. 233
13.9 Conclusion
References
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bean Studies, 73, 105–11.
234 Forensic anthropology and national identity
Bioarchaeological and Forensic Perspectives on Violence: How Violent Death is Interpreted from
Skeletal Remains, ed. D. L. Martin and C. P. Anderson. Published by Cambridge University Press.
© Cambridge University Press 2014.
236
Danielle Kurin 237
Figure 14.1. Map of the Andahuaylas region. Study sites include Ranracancha, Cachi,
Natividad, and Turpo.
Among the many distinctive cultural attributes that structured Chanka society
was the practice of cranial modification. Cranial modification, the intentional
deformation of the infant skull using pads, bands, and boards (O’Brien and
Stanley 2011), is perhaps the most salient corporeal indicator of social identity
in the ancient Andes. Indeed, Spanish and Mestizo chroniclers, including
Betanzos (2004 [1557]), Cieza de Leon (1984 [1553]), and Garcilaso de la
Vega (1966 [1609–1613]), all related that cranial modification signaled some
type of affiliation.
Danielle Kurin 239
may have been one strategy that facilitated this process. Yet, although cranial
modification could have promoted solidarity among in-group members, it may
have simultaneously provoked further balkanization with those outside the
group (Torres-Rouff 2002). These antagonisms could have become violent
(see Sen 2008; Taylor 2010). Thus, an important question remains: what were
the consequences of ethnogenesis with respect to experiences of violence
during the tumultuous LIP?
14.3.2 Methods
Although excavations yielded cranial and postcranial remains, this article only
presents data derived from analysis of human crania. This unit of analysis was
selected because crania afford information on age, sex, and the absence or
presence of cranial modification. Moreover, head trauma in particular is often
attributed to violent physical confrontations rather than accidental injury (Tung
2007a, 2012; Walker 2001). Cranial MNIs were determined based on the
number of diagnostic crania (at least 75% complete). Age-at-death estimations
were made using standard methods (Buikstra and Ubelaker 1994). Cranial
vault suture closure scores were summed to determine an S value correlated
with mean ages, and maxillary dental wear scores were employed to determine
broad age categories which could be compared to other south-central Peruvian
populations (Tung 2012). For subadults, dental development and eruption
were used to determine the age at death (Hillson 1996; Ubelaker 1989).
Finally, sex estimation was based on dimorphic features on the cranium; crania
were designated as male, female, probable male or female, or unknown
(Buikstra and Ubelaker 1994: 21). Because sexually dimorphic features are
not expressed in individuals until after puberty, juveniles under 15 years of age
were designated as “unknown.”
Anthropogenic features of the crania were also evaluated. Evidence for
cranial modification was assessed anthroposcopically, and confirmed through
the measurement of cranial arcs and chords (Kurin 2012; see Torres-Rouff
2002). Heads were classified as either modified or unmodified (“normal”).
Bioarchaeologists have had much success in discerning the social contexts
of violent interactions based on trauma frequency, location, and distribution
(Frayer 1997; Martin and Frayer 1997; Tung 2012; Walker 1997). To ascertain
how violence was experienced in Andahuaylas, crania were examined for
evidence of head wounds. Despite remodeling, evidence of injury becomes
sedimented in bone for several years, usually leaving residual defects that
allow us to see the accumulated effects of violence over the life of an individ-
ual (Agarwal and Glencross 2011). Trauma data were collected on the location
of affected areas on bone, including the side, region, and aspect. The number
and types of fractures or defects were calculated from the inventory and
distribution of wound impacts (Jurmain 1999; Lovell 1997), and concomitant
abnormal bone changes were described. Trauma frequency sheds light on rates
of violence within a population, while the location and distribution of wounds
244 Cranial trauma and modification
Remains at Turpo were radiocarbon dated to the late tenth century (AD 880–
990). Of 26 late adolescent/adult diagnostic crania examined, only two (7.7%)
have traumatic injuries (Table 14.1). All injuries were non-lethal, and showed
signs of long-term healing. In sharp contrast, during the subsequent early LIP
(AMS dated c. AD 1080–1290), trauma rates increase significantly: 53.7%
(117/218) of late adolescent/adult crania have at least one wound (Fisher’s
exact; P <0.0001; n ¼ 244). Trauma also became significantly more lethal
over time. While there are no late adolescent/adult individuals with perimor-
tem fractures from the Middle Horizon population, the Chanka sites occupied
during the twelfth and thirteenth centuries apparently experienced substantial
lethal violence. Fifty of 218 (22.9%) late adolescents/adult Chanka crania have
at least one perimortem wound; 39% (88/225) of all wounds observed
occurred at or around the time of death (Fisher’s exact; P ¼ 0.0034).
Trauma patterns between Chanka males and females are similar across Anda-
huaylas (Figure 14.3). There are no sex-based differences in trauma
Table 14.1. Trauma among late adolescent/adults in Andahuaylas.
Antemortem: Total
Cranial Number % w/ Total number Average number perimortem trauma
Site Sex MNI w/ trauma trauma of wounds of wounds trauma rates
Middle Horizon
Antemortem 0 0 3 1 0 0 4
Perimortem 0 0 0 0 0 0 0
Total wounded males 0 0 3 1 0 0 4
(n ¼ 2)
Antemortem 0 0 0 0 0 0 0
Perimortem 0 0 0 0 0 0 0
Total wounded females 0 0 0 0 0 0 0
(n ¼ 0)
Late Intermediate
Period
Antemortem 11 12 26 17 5 0 71
Perimortem 7 7 13 3 1 2 33
Total wounded males 18 19 39 20 6 2 104
(n ¼ 54)
Antemortem 14 10 17 14 9 0 64
Perimortem 7 8 15 8 0 5 43
Total wounded females 21 18 32 22 9 5 107
(n ¼ 56)
Antemortem (unmod.) 2 4 4 5 0 0 15
Perimortem (unmod.) 4 3 5 1 0 0 13
Total unmodified (n) 6 7 9 6 0 0 28
Unmodified (%) (21.4%) (25%) (32.1%) (21.4%) (0%) (0%)
Figure 14.3. Trauma lethality and distribution between Chanka males (left) and
females (right). Grey circles signal antemortem trauma; black circles indicate
perimortem trauma.
Thus far, trauma data from Andahuaylas have shown that Chanka individuals
experienced significantly more violence then earlier Middle Horizon popula-
tions. Moreover, Chanka late adolescent/adult males and females experienced
physical attacks that were congruent in their frequency, lethality, and location.
However, not all Chanka late adolescent/adults were targeted for attack.
While some individuals were singled out for head trauma, others did not
experience violence severe enough to break bone. In this case, the difference
appears to have been primarily based on whether or not an individual had a
modified head. Trauma rates among modified and unmodified Chanka are
significantly different. Of 160 modified individuals, 97 (60.6%) had at least
one traumatic wound, while only 16 of 50 (32%) unmodified crania had at least
one instance of trauma (Fisher’s exact; P ¼ 0.0006; n ¼ 210) (Figure 14.4).
Head wound trends for late adolescents and adults in Andahuaylas also extend
to subadults under 15 years of age. Juvenile trauma rates increased overall
248 Cranial trauma and modification
Figure 14.4. Trauma among Chanka individuals with modified crania (top) and
unmodified crania (bottom). Clear circles signal antemortem trauma; black circles
indicate perimortem trauma.
from 0% (0/10) during the Wari era to 14.3% (3/21) during the post-imperial
period (Fisher’s exact; P ¼ 0.5328; n ¼ 31). Relative to the preceding Wari era
when no juveniles exhibited head trauma (Tung 2012), this is a striking change
that further demonstrates that the Chanka lived during a violent and tumultu-
ous time, both for adults as well as children. Intriguingly, in Andahuaylas,
wounded children were only present at Chanka sites; juvenile crania (n ¼ 12)
from other contemporaneous (non-Chanka) cultural groups in the region do
not display head wounds (Kurin 2012).
Similar to the older group, cranial modification appears to have structured
experiences of violence among Chanka juveniles. All three wounded Chanka
subadults also had cranial modification; wounds were all higher impact blunt
force trauma with characteristic depression and radiating fractures. Linear
Danielle Kurin 249
fractures, which are usually caused by lower forces and stem from accidental
injury (Lovell 1997), were not observed. The lone unmodified child cranium in
the sample had no trauma. Because of the small sample size, trauma differ-
ences between modified and unmodified juveniles are not statistically signifi-
cant (Fisher’s exact; P ¼ 1.000; n ¼ 21). However, the trend suggests that
traumatic injuries were not restricted to modified individuals within a specific
age cateogry. Regardless of age, those who displayed cranial modification
(a practice that must occur in infancy) were predisposed to a higher level of
violence.
The location of trauma can inform on the social context of the encounter and
intent of the assailant (Ta’ala et al. 2006). This study compared the distribution
of wounds between the modified and unmodified groups (Table 14.3). Signifi-
cant differences are apparent: only individuals with cranial modification had
wounds targeting the superior and inferior portions of the vault (Fisher’s exact;
P ¼ 0.0322; n ¼ 213).
Furthermore, only Chanka crania with modification demonstrated unsur-
vivable basal skull wounds, called ring fractures. With this type of wound,
impact forces caused the basilar portion of the occipital to separate from the
rest of the vault. Radiating fractures split dense features terminating at the
foramen magnum, and posterior fracture margins on the occipital squama
displayed internal beveling. With this type of wound, the brainstem is often
lacerated, and death is almost always immediate (DiMaio and DiMaio
2001). Biomechanically, ring fractures can be caused by vertical loading
and impact forces transmitted up through the cervical spine and occipital
condyles, as experienced in high falls (Lovell 1997). However, ring frac-
tures from falls are usually associated with cervical vertebrae compression
fractures. In Andahuaylas, not a single cervical vertebra of more than 2224
observed had this type of fracture. Because there is no evidence that ring
fractures are from falls, the likely etiology of these wounds in Andahuaylas
is violent blunt force trauma. The location of the wound indicates that the
victims likely had their heads bowed, exposing the base of the skull.
Several strikes to the base of the skull of a kneeling, subdued individual
by a standing assailant would lead to the ring fractures observed on
Andahuaylan crania. A similar pattern of lethal injury, characterized as
execution blows, was found on crania from post-imperial contexts at the
former Wari capital city in Ayacucho (Tung 2008) and at the Khmer Rouge
killing fields (Ta’ala et al. 2006).
250 Cranial trauma and modification
Figure 14.5. Excessive trauma and ring fractures on modified Chanka crania.
When Chanka individuals were targeted for violence, those with cranial modi-
fication tended to be the victims of consecutive violent encounters, unambigu-
ously evinced by the presence of both antemortem and perimortem trauma. Of
97 modified individuals with trauma, 16 (16.5%) have both antemortem and
perimortem wounds, while none of the unmodified individuals (0/16) were the
victims of repeated aggression. This difference is nearly significant (Fisher’s
exact; P ¼ 0.0715; n ¼ 113). Given this trend, it appears that Chanka men and
women with cranial modification were victims of recidivism, while the group
with unmodified, “normal,” head shapes evaded repeated attacks.
Finally, synchronic, excessive violence was also enacted within Chanka
communities. This type of violence may be identified by the presence of
multiple perimortem blunt force traumas that are redundant and physically
destructive (Figure 14.5). In post-imperial Andahuaylas, these repetitive, high
impact, overkill blows were mostly directed towards the face. Although crania
(n ¼ 34) from contemporaneous, non-Chanka sites in the region were also
examined to provide a comparison (Kurin 2012), excessive wounds were only
observed during the post-imperial era, exclusively in Chanka communities,
and only on modified crania.
and non-lethal. This suggests that assailants may have intended to injure – but
not kill – the victim during the assaults. Moreover, given that trauma only
impacted males, what sort of violence might have been taking place?
Sublethal anterior cranial injuries in the Andes are often attributed to a form
of ritualized conflict called tinku (Tung 2012: 139), or takanakuy in Andahuay-
las. In cases of takanakuy, combatants from different ayllus meet at a central
location to face off. During these yearly events, community tensions are
released as fighters trade blows. Ethnographic observations of over three dozen
takanakuy encounters in Andahuaylas revealed that jabs, crosses, and uppercuts
were never used, while hooks and bolo punches were only thrown in a few
bouts. In almost all cases, combatants lunged with wild, uncontrolled, round-
house blows. This type of fighting significantly impacted the nasal bones,
lateral eye orbits, zygomatics, greater wings of the sphenoid and temporal
bones; medial areas around the frontal bosses and superior coronal suture
tended to evade impact. Although hands were bandaged, combatants also
tended to display broken metatarsals (“boxer’s fractures”) (see Lovell 1997).
Assuming traditional fighting styles have remained relatively unchanged over
several centuries, the lack of wounds to the sides of the face and broken hand
bones at Turpo suggest takanakuy was not the cause of injuries.
Sublethal violence on males may be evidence of more acrimonious encoun-
ters. For instance, Tung’s (2012: 125) research on trauma in the Wari southern
hinterlands documented injuries on the frontal bones and facial area of males as
well as concomitant parry fractures of the radius and ulna. These data were
interpreted as evidence of face-to-face physical conflict and possibly raiding.
Yet, in Wari-era Andahuaylas, the low trauma rate and the lack of clear evidence
of parry fractures suggests that violence at Turpo did not take the form of
malevolent attacks either. Because trauma data largely rule out other forms of
violence, it appears that males at Turpo may have occasionally fallen victim to
interpersonal conflict resolution with prescribed rules of engagement (Chagnon
1992), or perhaps some form of community sanctioned corporal punishment
(Tung 2012: 144–5). Overall, there is no evidence at present to suggest that the
later Wari era (Middle Horizon) in Andahuaylas was a time of endemic conflict.
Trauma patterns at the three LIP Chanka sites are distinct. Ranracancha,
Natividad, and Cachi were engaged in a context of violence distinct from
earlier Wari-era populations. The striking similarity in trauma patterning
between males and females, and between juveniles and late adolescents/adults,
informs on the type of violence that the Chanka may have experienced.
252 Cranial trauma and modification
testimony from Andahuaylas relates how Senderistas in the late 1980s would
almost always smash the faces of victims with large rocks to symbolically
destroy their identities, as well as inhibit the positive identification of victims
(Theidon 2001). Centuries earlier, chronicler Juan de Betanzos (2004 [1557]:
244) reported that battle axes were used to “smash heads to pieces,” as the final
step in a longer process of genocidal torture. Osteological evidence from
Andahuaylas appears to confirm at least part of the chronicler’s account.
victims of successive violent encounters. The fact that all members of this
subpopulation group appear to have been equally impacted by attack is an
indispensable correlate of genocidal behavior in modern societies.
The distribution of head wounds also points to violence that singled out a
particular group within Chanka communities. Only modified individuals had
trauma directed at the inferior portions of the vault. These deadly ring fractures
on the skull base indicate that those individuals were likely incapacitated when
they became the victims of close range, execution-style blunt force trauma.
Moreover, repeated, high impact, lethal, overkill blows were used to physically
and symbolically extirpate the identity of modified victims.
As victims of selective intergroup violence, Chanka men, women, and
children with cranial modification endured fundamentally different social
contexts of conflict than both their unmodified neighbors and their Wari-era
ancestors. The skeletal data from Andahuaylas clearly indicate that local
intergroup relationships were profoundly transformed in the decades following
Wari imperial fragmentation. Notably, cranial modification emerged as a
newly significant and highly conspicuous means of group differentiation.
However, with this distinction came the systematic, targeted killing of those
newly identifiable group members. In sum, skeletal data strongly support a
scenario whereby group identities were reformulated and, correspondingly,
violent physical interactions were restructured. Connections between cranial
modification and cranial trauma point to the creation of new social boundaries
as well as the intentional, physical destruction of the very individuals who
employed those boundary-marking practices in this region of the Andes.
Acknowledgments
This research was supported by funding from a National Science Foundation
DDIG, a Fulbright-Hays DDRA fellowship, and Vanderbilt University. The
Peruvian Ministry of Culture and the Municipality of Andahuaylas provided
research permits and lab space. Lic. Emmanuel Gómez helped lead exca-
vations and direct the Proyecto Bioarqueologico Andahuaylas research team.
Many thanks to Debra Martin and Cheryl Anderson for inviting me to partici-
pate in this volume and for offering suggestions that greatly improved the
quality of the manuscript. All errors herein are my own.
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15 Allies today, enemies tomorrow.
A comparative analysis of
perimortem injuries along the
biomechanical continuum
m e l i s s a s c o t t mu r p h y , b r i a n s p a t o l a ,
and r ick w eathermon
15.1 Introduction
The historical record often guides the understanding of the violence perpetrated
by the Spanish during the conquest of the Inca Empire; however, a critical
close reading of the record combined with nuanced skeletal analysis is required
to evaluate the victims of violence properly and to understand the social
contexts of those violent encounters. For example, evidence of injuries from
European weapons, such as firearms or steel-edged weapons (blunt and sharp),
indicates that the victims were injured after the arrival of the Spanish; however,
the perpetrators could have been Spaniards, indigenous Andean allies of the
Spanish armed with European weapons, or even allies recruited from different
parts of the Americas. Furthermore, the effects of sixteenth-century European
weapons on human skeletal remains are little known, so the interpretation
of the correspondence between the weapon and the injury is particularly
challenging. In this chapter, we examine characteristics of perimortem skeletal
injuries, weapon class, and mechanism of injury from historical and forensic
case studies to aid in interpretation of the high frequencies of perimortem
traumatic injuries (25.0%) among 120 individuals, and injuries consistent with
European weapons from a sample of indigenous human skeletal remains from
Puruchuco-Huaquerones (PH), Peru (Murphy et al. 2010). Our analysis
attempts: (1) to interpret trauma characteristics based on their association with
the types of weapons available before and after the arrival of the Spanish; and
(2) to illuminate the context of the violence of the Spanish Conquest.
Bioarchaeological and Forensic Perspectives on Violence: How Violent Death is Interpreted from
Skeletal Remains, ed. D. L. Martin and C. P. Anderson. Published by Cambridge University Press.
© Cambridge University Press 2014.
261
262 Perimortem injuries along the biomechanical continuum
In this study documented historic and modern injuries are compared with
historic and prehistoric unknown injuries of similar character from cemeteries
at the archaeological site of PH, Peru (AD 1470–1540). The purpose of this
exercise is to explore the interface between contextual and forensic anthropo-
logical approaches to interpretation of wounds from unidentified weapons. The
effects of sixteenth-century European weapons on human skeletal remains are
not as widely documented as those of their modern counterparts and the
evidence should be approached with due caution. We examine characteristics
of perimortem skull injuries, documentation of Spanish and Inca weapons, and
forensic case studies to assist with interpretation of perimortem traumatic
cranial injuries from PH, Peru.
Warfare, raiding, and battles have been reported from pre-Hispanic contexts in
the Central Andes (Andrushko 2007; Andrushko and Torres 2011; Torres-
Rouff and Costa Junqueira 2006; Tung 2007; Verano 2001). Typical pre-
Hispanic Andean weapons included maces, slings with sling stones, large
wooden axe-like implements, bolas, tumi knives, and large wooden spears
(macana) (D’Altroy 2002; Del Busto Duthurburu 1978; Himmerich and
Valencia 1998; Rowe 1957). The Inca attached edges or points made of animal
bone, copper, silver, or bronze to their weapons (D’Altroy 2002; Hemming
1970; Himmerich and Valencia 1998; Pizarro 1978; Rowe 1946; Salas 1950).
As armor, the Incas donned lightweight cotton or textile padding.
During the conquest and invasion of the Inca Empire, the Spanish armed
themselves with steel-edged swords, pikes, pole arms (such as a halberd), war
hammers, crossbows, longbows, metal clubs and maces, and some firearms
(arquebus, pistol, falconet) (Guilmartin 1991; Hemming 1970; Salas 1950).
When musket balls were in short supply, the Spanish loaded their firearms and
small cannons with rocks and metal objects (Guilmartin 1991; Salas 1950).
The Spanish also discharged “branched balls” or wire balls, which were two
hemispheres of lead joined together with a wire (Salas 1950: 211–12). Indigen-
ous allies, including the Lima chiefdom from the central coast of Peru, as well
as from other regions, supported the Spanish in their quest to subdue the Inca
(Rostworowski 1977; 2002: 238; Spalding 1999).
In our efforts to understand the perpetrators and victims of violence in
the samples from PH and to illuminate the context of violence of the Spanish
Conquest, we used historic cases, forensic studies, and the biomechanical
Melissa Scott Murphy et al. 263
principles that apply to bone under physical stress to aid in the interpretation of
trauma. Based on ethnohistoric accounts of the Spanish Conquest of the Inca
Empire (D’Altroy 2002; Del Busto Duthurburu 1966, 1978; Rostworowski
2002; Spalding 1999), indigenous Andean peoples were both perpetrators and
victims of violence. Other bioarchaeological studies have reported heightened
levels of violence associated with the Spanish Conquest, between the Spanish
and indigenous peoples and heightened internecine violence between indigen-
ous peoples (Hutchinson 2009; Larsen et al. 1996; Stodder and Martin 1992).
Therefore, we expected that the indigenous community at PH also experienced
heightened levels of violence associated with the Spanish Conquest and
warfare. Previous analysis of the perimortem injuries on individuals from PH
has shown that the injuries are consistent with trauma sustained by a variety of
indigenous and European weapons (Murphy et al. 2010). We expect that
injuries or combinations of injuries with conflicting characteristics will pose
significant challenges to interpretation.
Burial
number Age Sex Burial type Description of perimortem trauma
I, Indeterminate.
Melissa Scott Murphy et al. 265
Thrown projectiles
Sling stones (2314.9–12346 grains1) 29.9–40.22 98–132 49.4–477.6
Baseball (2284 grains) 40.2 132 (90 mph) 88.4
sixteenth-century crossbow bolt 36.6–54.9 120–180 35.0–78.8
(1095.7 grains3)
Antique firearms
.58 caliber arquebus match-lock 198.1–259.75 650–850 262.7–449.2
(smoothbore, 280 grain ball4)
.75 caliber flintlock (smoothbore, 173.4–306.6 569–1006 391.8 –1224.6
545 grain ball5)
.58 caliber rifle minie ball (510 283.5–369.1 930–1211 979.3–1660.6
grain bullet5)
Modern firearms
.22 caliber – 5.56 mm long rifle 304.8 1000 88.8
(40 grain bullet6)
Colt 1911.45 caliber ACP (200 283.5 930 384.1
grain bullet6)
.44 Smith & Wesson magnum 475.5 1560 1296.8
(240 grain bullet6)
M16 – 5.56 mm NATO (70 grain 960.1 3150 1542.1
bullet6)
Weights and/or velocities adapted from: 1 Mullins 2012; 2 Richardson 1998; 3 Watson 2009;
4
Alderney Maritime Trust 2012; 5 Fadala 2005; 6 Barnes 1989.
Note: 437.5 grains ¼ 1 ounce.
Figure 15.1. Top panel: examples of typical blunt force injuries from Puruchuco-
Huaquerones (57AS03E048, HP01–76). Skull with multiple perimortem injuries on the
left parietal eminence with others on the occipital region and cranial base. Inset: close-
up of oval-shaped depressed fracture with a punched-in central hole with depressed
margins on parietal. Bottom panel: 57AS03E231. Ovoid defect of left frontal with
endocranial and ectocranial views of bone plug.
injuries were only found in 57AS03. Four individuals from this cemetery show
injuries that are penetrating (E123, E231, and E248) or have rectilinear
margins (E248 and E107) or both (E248) (Figures15.1–3).
57AS03E231 (female, 15–20 years) had an ovoid defect on the left frontal
(23.0 10.8 mm) (Figure 15.1). The anterior rim of the defect consisted of
roughly parallel terrace or stair-step fractures. The plug from this injury was
recovered from the anterior edge of the defect, hinging inside the cranium at
the time of its discovery. The defect exhibited internal beveling and the
endocranial surface of the plug was larger than the ectocranial surface (i.e.
funnel-shaped). No tension fractures were on the endocranial surface of the
plug (Murphy et al. 2010). The cranium had additional blunt force perimortem
injuries to the left frontal, left maxilla (tripod fracture), and the left parasym-
physeal region of the mandible and there was also a small, depressed ovoid
Melissa Scott Murphy et al. 271
Figure 15.2. 57AS03E123. Clockwise from top right. Top right: superior view with
ovoid defect consistent with a perimortem penetrating injury. Right middle:
compressed ectocranial surface of the plug. Right bottom: endocranial surface of the
plug. Left lower: endocranial view. Left middle: close-up of defect on frontal. Top left:
defect with delamination, depressed edge, and radiating fractures on frontal.
defect on the occipital. Standard radiography did not detect any metal residues
on the cranium.
57AS03E123 (male, 20–34 years) had a circular injury on the left parietal
(15.5 17.1 mm) (Figure 15.2). The exterior margins of approximately
half of the defect’s circumference display parallel curvilinear “terraced” or
272 Perimortem injuries along the biomechanical continuum
Figure 15.3. Top left: 57AS03E248. Quadrangular defects to the left parietal and
occipital. Bottom left: close-up of quadrangular defect on occipital. Bottom right:
interior of the quadrangular defect on the occipital viewed from the foramen magnum.
Right: 57AS03E107. Anterior view of triangular defect to left frontal and extensive
perimortem trauma to the right zygoma, the parietal and temporal bones, the occipital,
and the mandible.
Figure 15.4. Left top and bottom: AFIP 1000776. Cranium from the Civil War with a
penetrating gunshot injury to the left parietal and an incomplete exit wound of the right
parietal. Top right: AFIP 1002808. Cranium with gunshot injury from the Mexican-
American War. Bottom right: AFIP 1001829. Cranium, bola injury (metal ball),
nineteenth-century Patagonia.
roughly circular 30.0 38.0 mm depressed fracture near the anterior superior
angle of the right parietal. There are multiple concentric depressed fractures
within the main fracture. A jagged fracture bisects the injury to the right, of
which less than half of the injured bone is missing (Figure 15.4, bottom right).
Although fragments of bone are missing, this does not appear to be a penetrat-
ing injury.
A skullcap from a modern forensic case (1990.0003.1688) shows a non-
penetrating blunt force injury from the head of a ball peen hammer (rounded
hemispherical head). There is a depressed oval-shaped injury 10.0 mm above
the right parietal eminence measuring 30.0 25.0 mm, with a central area of
crushed and depressed bone consisting of comminuted bone within a concen-
tric fracture (Figure 15.5, top).
The skull section specimen PS 10074 has an injury from a rock thrown to
the head (Figure 15.5, bottom). The specimen shows a circular depressed
Melissa Scott Murphy et al. 275
Figure 15.5. Top: 1990.0003.1688. Skullcap, injury from a ball peen hammer,
twentieth century. Bottom: PS 10074. Frontal bone struck by a thrown stone.
fracture of the frontal bone with comminuted bone, a crushed edge, and
fractures radiating to the face. The injury measures 20.0 20.0 mm. The
delaminated portion appears to be an artifact of the sawing of bone to remove
the specimen.
Specimen 1990.0003.1819 is a parietal bone of an adult male struck by
a subway train. The injury is a 27.0 22.0 mm circular defect with an angular
12.5-mm crushed edge with stair-step parallel fractures. The injury produced
276 Perimortem injuries along the biomechanical continuum
Figure 15.6. 1990.0003.1819. Cranium. Blunt force injury and bone plug from train.
a bone plug with both tables intact and having buckled internal margins
corresponding to the crushed external portion (Figure 15.6).
Specimen AFIP 1002456 (saber injury, nineteenth century, Chile) has
multiple sharp injuries with associated blunt force characteristics concentrated
in the left parietal area. Four separate blows can be seen in the photo with three
parallel cuts spaced roughly 45.0 mm apart with an inferior cut across the left
lambdoid suture (Figure 15.7). Each blow shows a clear polished appearance
of the edges of cut bone on one side, with chipped and fractured bone on the
opposite side. Areas with multiple blows have large blunt force fractures,
which removed large fragments of bone that were not recovered.
Specimen PS 5721 (suicide, jumped from window, 1870, Washington,
D.C.) is a cranium with extensive museum wiring of fractured bone and a
hinged left half skullcap for viewing the endocranium. On the right side of
the skull is a 9.0 10.0 cm depressed fracture comprised in large part by a
stellate fracture circumscribed by a concentric fracture. An additional adja-
cent 2.5-cm area of depressed bone is seen on the frontal bone just lateral to
the frontal eminence. A fracture of the right zygomatic process and LeFort
III fractures to the upper face are seen. Inferior to the stellate fracture is an
Melissa Scott Murphy et al. 277
Figure 15.7. Top: AFIP 1002456. Saber injury, nineteenth century, Chile. Bottom:
PS 5721. Adult male cranium, blunt force injury, suicide. Jumped from window, 1870,
Washington, D.C.
Figure 15.8. Crossbow injury, Albany County, Wyoming. Upper left: the location of
the entrance defect. Upper right: crossbow dart tip. Bottom right: endocranial view of
entrance defect and ectocranial view of entrance defect. Bottom left: endocranial and
ectocranial views of the bone plug.
The crossbow used was a small pistol-type (Furgeson 2008; Furgeson et al.
2009), which can produce velocities up to 50 m/s (Tremayne 2009: 28).
Photographs of bolts at the crime scene indicate that the puncture was caused
by an aluminum arrow shaft 33.0 cm with a solid metal ogive-tipped target
point (Figure 15.8) (Furgeson 2008). Dart mass has been estimated at between
17.8 and 21.1 g (274.7–325.6 grains), given the above. Maximum diameter of
the metal point is approximately 8.9 mm; the hollow shaft of the bolt is about
0.15 mm less. The ectocranial puncture has a maximum diameter of about
5.9 mm. Grellner and colleagues (2004) report that crossbow bolts at relatively
high velocities can completely transect human crania. In this case, the taper of
the projectile point and the external wound diameter indicate a penetration of
<6.0 mm into the bone, or about two-thirds the length of the ogive portion of
the tip. Deformed inward, the plug shows a crushed external surface with
compression of the diploe. The endocranial surface of the plug, measuring
approximately 1.5 cm in maximum dimension, exhibits radiating fractures with
wedge-shaped splinters of bone.
Using the information above, estimates of the bolt’s kinetic energy indicate
that a very low yield impact caused the trauma. The ballistic formula, kinetic
energy ¼ ½ mass velocity2, is used to calculate the work (kinetic energy
in foot-pounds) of an object traveling at X velocity with Y mass (see Carlucci
2008). At 50 m (164 feet) per second and with a mass of 325.6 grains, the bolt
exerted a maximum of 19.45 foot-pounds at impact. At lower velocity and
lower mass, the kinetic energy is significantly less (see Table 15.2 for com-
parative velocities and foot-pounds at impact). Note that diameters of the .22
caliber and 5.56 NATO bullets are slightly smaller than the defect caused by
the ogive dart tip. The relatively low velocity and energy impact of the bolt
resulted in the formation of the bone plug. With the higher velocities and
energies of these bullets, the bone plug would probably have been shattered
into multiple and smaller fragments on impact.
Positive identification of weapons used in skeletal trauma cases may aid in the
interpretation of unknown bone injuries. However, identification of specific
implements is often not possible when blunt force trauma to the cranium is
evident in archaeological and forensic cases (Symes et al. 2012: 353). The
majority of wounds from the archaeological sample are consistent with exten-
sive multiple blunt force injuries to the face and head. Three broad types of
injuries can be seen in the archaeological samples from PH. The first type
280 Perimortem injuries along the biomechanical continuum
comprises two subtypes and consists of the multiple broad and localized blunt
force injuries typical of the pre-conquest Peru (see E048 and HP01–76 in
Figure 15.1). Second are the penetrating circular and ovoid penetrating injuries
with terraced margins from 57AS03 (E231 [Figure 15.1] and E123 [Figure
15.2]). Third are penetrating localized injuries with rectilinear margins (E248,
E107 [Figure 15.3]).
Broad depressed fractures in the typical Peruvian samples were similar in
character to those from a documented impact with a broad surface (PS 5721)
with displayed characteristics of stellate and concentric fractures typical of
blunt force injury. Localized shallow depressed fractures such as those seen in
HP01–76 are similar to lower-velocity blunt objects with localized application
of force such as seen in reference samples for stone, metal bola, and ball peen
hammer, though each injury is expectedly influenced by differences in size and
shape of implement. Such comparisons are hardly unexpected and unremark-
able. However, the next two classes of specimens from four individuals in
57AS03 arguably possess injuries with unexpected penetrating and/or rectilin-
ear pattern characteristics that imply a different armament type from those seen
previously in other pre-Hispanic contexts.
Two specimens show round to oval penetrating depressed fractures with
internal beveling and terraced fracture margins (E123 and E231). The injuries
of the two examples of nineteenth-century GSWs do not have terraced fracture
margins and demonstrate radiating fractures. However, blunt force injuries
from firearms can and do occur under some circumstances (LaGarde 1916;
Otis 1870; Spatola in press). These injuries are consistent with the example
from that caused by the subway train (1990.0003.1819) to include plug forma-
tion without spalling, internal beveling, and marginal terracing. As a result, we
conclude that, although there is no conclusive evidence of a gunshot injury
(based on our comparative historic cases), a reduced-velocity gunshot
injury cannot be ruled out for the injury seen on E123, owing to its rounded
shape consistent with round ball ammunition. To a lesser degree, E123 also
shares characteristics of a slow-loading injury when compared with the cross-
bow injury (Figure 15.8), such as evidence of crushed margin and internal
beveling and a partial plug formation. Taken as a whole, these specimens
demonstrate that similar injuries can be produced from vastly different contexts,
but where the localization and magnitude of biomechanical forces are similar.
E248 and E107 show injuries with rectilinear patterns not documented
previously in pre-Hispanic contexts from the Central Andes. Penetrating
injuries from this context are rare. We believe the injuries on E248 in particular
are inconsistent with pre-Hispanic weapons as they are uniformly rectangular
on all sides and consistent across three separate impacts. Two of the three
impacts on E248 are penetrating injuries, while the third is incompletely
Melissa Scott Murphy et al. 281
penetrating; however, we did not classify the injuries as arising from sharp
force as the rectilinear sides are not incised or polished. They are more
accurately described as BFT with an angular edged implement. Future experi-
mental investigations may illuminate why these injuries are distinct from the
majority of pre-Hispanic injuries from the Central Andes.
Using historic documented cases, we set out to demonstrate the broad range
of injuries that can be caused by slow-loading lower-velocity implements and
how the biomechanical continuum should be taken into account when exam-
ining injuries from unknown weapons, particularly from armaments without
exemplars. We do not advocate using documented cases to determine peri-
mortem traumatic injuries in bioarchaeological cases; however, appropriate
comparisons may provide more insights than those interpretations based solely
on textbook weapon-centered classifications.
Forensic analysis in the medicolegal context requires scientific and legally
defensible interpretations whereas archaeological investigations do not. To
avoid over-reaching interpretations we advise bioarchaeologists that, if the
injury demonstrates confounding characteristics (i.e. terraced or depressed
fractures in a suspected GSW), it might be best to follow forensic best
practices (SWGANTH 2011) and describe the injuries and defects in question
and provide these descriptions along with photos and accompanied by a
discussion of the various potential interpretations. This is particularly prudent
if the variation of injuries from a particular source is unknown or little studied,
such as in the case of sixteenth-century weapons or the discharge of rocks or
“branched balls” from sixteenth-century firearms. More replication studies are
needed to illuminate the variation of wounds caused by prehistoric and early
weapons. The atypical injuries from the archaeological samples in our study
indicate to us that a different milieu of armaments may have been present when
these individuals were killed. Exactly what these weapons were and who
wielded them is difficult to determine.
When the editors of the volume organized the symposium at the 2012
American Association of Physical Anthropologists (AAPA), they tasked the
participants with contextualizing “the skeletal data within the larger social,
political, economic, and historical context, specifically by examining the roles
of individual agents and groups and how they interact in a specific geopolitical
or geographical area” (Anderson and Martin 2012). As the authors point out,
by its very nature, bioarchaeological investigations of human skeletal remains
with traumatic injuries emphasize the victims of violence, with scant attention
to the initiators, perpetrators, or aggressors. Also potentially absent from these
investigations is the acknowledgment of the fluidity and instability of individ-
uals and groups in these roles of aggressor or victim and, therefore, the often
unconscious assumption of a dichotomy (i.e. one is either an aggressor or a
282 Perimortem injuries along the biomechanical continuum
victim), rather than the inherent ambiguity and chaos attached to certain
contexts of violence, such as, as in this case, the European colonialism of
indigenous populations in the Americas. Along these lines, ethnohistoric and
historical sources indicate that not all native Andeans fought against the
Spanish during the Spanish Conquest of the Inca Empire, and that some
groups, including the local lord (curaca) of the chiefdom of Lima on the
central coast of Peru (Rostworowski 2002: 238), backed and supported Pizarro
and the Spanish (Rostworowski 2002; Spalding 1999). Therefore, discerning
the victims from aggressors and the exact roles of native Andeans in violence
after the Spanish Conquest and invasion is an extremely daunting task. Indi-
viduals and communities may have shifted their positions vis-á-vis the Spanish
and those that were formerly allies may have become enemies (or vice versa).
In the archaeological sample from 57AS03, there is an extraordinary degree
of multiple, lethal perimortem injuries (Murphy et al. 2010), which are par-
ticularly excessive and could be attributed to the brutality of the Spanish as
described by historical accounts. However, brutality, violence, sacrifice, and
corpse mutilation are not unknown from the Central Andes, so the Spaniards
were not the only perpetrators of violence and it could be that native Andeans
caused these injuries (e.g. Andrushko et al. 2011; Blom 2005; Klaus et al.
2010; Toyne 2009, 2011; Tung 2008; Tung and Knudson 2010; Verano 1986,
2001, 2007, 2008). The frequency of individuals from 57AS03 affected by
perimortem injuries is relatively high; men, women, and children possessed
these injuries and many individuals possessed multiple injuries. The frequency
and pattern of perimortem injuries coupled with their atypical mortuary treat-
ment distinguishes them from the other contexts of violence reported from the
pre-Hispanic Andes.
Unfortunately, the archaeological context and historical contexts cannot
definitively clarify the aggressors and their relationship to the victims.
Although the archaeological context of the burials is well understood, it is a
cemetery and not a battlefield or a battlefield cemetery, and the early accounts
of Spanish Conquest and invasion are extremely sparse and limited. These
victims may have been participants in the attack on the Spanish during the
siege of Lima, which was the second of two sieges that the Inca leader Manco
Inca organized and led against the Spaniards. The first uprising began in Cusco
and, based on its success, Manco Inca ordered one of his generals to surround
and attack the new Spanish capital at Lima (Del Busto Duthurburu 1978; Vega
1980). The Spanish routed the Inca forces and the survivors fled back to the
highlands (Del Busto Duthurburu 1978; Vega 1980). If these individuals were
participants, then they were interred alongside other native Andeans from the
central coast. The Spanish and their allies may have subjected these victims
to retributive violence after the siege or they could have been involved in
Melissa Scott Murphy et al. 283
internecine violence (native vs. native violence) in the aftermath of the Spanish
Conquest, a phenomenon that has also been described in post-conquest con-
texts from North America (Stodder and Martin 1992).
From the bioarchaeological and forensic perspectives taken here, pinpoint-
ing the perpetrators is an extremely daunting task. With the archaeological
sample described, while we may be able to isolate an implement that may have
caused an atypical injury, we cannot identify the exact perpetrators of this
violence: the high frequency of blunt force injuries in the archaeological
sample is consistent with the use of blunt force implements. These injuries
could, however, have been caused by European maces or clubs wielded by the
Spanish or their native allies or the injuries could have been caused by
indigenous maces or clubs. It is widely known that the Spanish were allied
with native warriors who were armed with traditional weapons (Cieza de León
1998; Del Busto Duthurburu 1966; Hemming 1970; Lockhart 1972; Restall
2004). The injuries to E107, E248, and E123 could have been caused by
Spanish or by native Andeans armed with European weapons, but we cannot
ascertain whether they were allies or enemies of the Spanish.
Disclaimer
The opinions and assertions contained herein are those of the authors and do
not necessarily represent the views of the National Museum of Health and
Medicine or the Department of Defense (DoD), any of the military services or
other DoD components or any other government agencies, and do not consti-
tute an endorsement by the DoD of any of the opinions expressed, or any
information, products, or services contained therein.
Acknowledgments
Funding for this research (MSM) was provided by Bryn Mawr College, the
University of Wyoming, the National Science Foundation (grant #0618192),
and The Wenner-Gren Foundation for Anthropological Research (grant
#6791). We thank the anonymous reviewers for their constructive comments.
We are especially grateful to our editors, Debra Martin and Cheryl Anderson,
who graciously invited us to participate in the AAPA symposium and to
contribute to this volume. We thank them for their patience with our editorial
process. MSM would like to thank the curators and staff at the National
Museum of Health and Medicine for their assistance during her visit. Thanks
to Matthew Breitbart and Merissa Olmer for photography of the NMHM
specimens.
284 Perimortem injuries along the biomechanical continuum
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R. J. & Mendoza, R. G. (eds.) Latin American Indigenous Warfare and Ritual
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(2008). Communality and diversity in Moche human sacrifice. In: Bourget, S. &
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Society of the Peruvian North Coast. Austin: University of Texas Press, 195–213.
Watson, D. R. (2009). Iolo’s First Book of Crossbows, 2nd edn. Austin: Gwasg Caeseg
Wen Press.
Williamson, M. A., Johnson, C. A., Symes, S. A. & Schultz, J. J. (2003). Interpersonal
violence between 18th century native Americans and Europeans in Ohio. Ameri-
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16 Interpreting gunshot trauma as
context clue: a case study from
historic North Las Vegas, Nevada
j o h n j . c r a n d a l l , ry a n p. h a r r o d ,
c h e r y l p . an d e r s o n , an d k a t h r y n
m. baus tian
16.1 Introduction
Bioarchaeological and Forensic Perspectives on Violence: How Violent Death is Interpreted from
Skeletal Remains, ed. D. L. Martin and C. P. Anderson. Published by Cambridge University Press.
© Cambridge University Press 2014.
289
290 Interpreting gunshot trauma as context clue
because of discontinued use of the Kiel Ranch where the cemetery was
located, as well as the economic and demographic growth of the Las Vegas
metropolitan area in the 1970s (Escobar 2005).
The Kiel Ranch burials offer an interesting case study because they repre-
sent one of the earliest pioneer settlements in southern Nevada. Additionally,
two of the burials were victims of lethal trauma involving two distinct fire-
arms. Skeletal injuries resulting from firearms or high-velocity projectile
weapons such as handguns, shotguns, and rifles are commonly seen by
forensic anthropologists working in a legal context as well as bioarchaeologists
working in historical contexts. In both circumstances, trauma data related to
gunshot wounds (GSWs) obtained from careful examination of human skeletal
remains can generate information regarding the details surrounding an indi-
vidual’s death as well as the setting in which they lived when carefully
contextualized against other data. When judiciously used, trauma data can be
integrated into anthropological hypotheses testing the role of violence among a
past group. For forensic experts, such information may help narrow down the
identity of unidentified injured remains or assist investigators in deciding the
cause and manner of death. For bioarchaeologists, this same dataset can
carefully be integrated into larger biohistorical analyses seeking to investigate
the political function of violence among past communities.
The focus of this chapter is the analysis of the ways that trauma related to
GSWs can be integrated into anthropological research. This could help
interpretations that at least partially identify the witnesses, victims, and
perpetrators of past violence. Using models and frameworks that integrate
osteological, archival, and archaeological data will greatly benefit the ability
to interpret how violence functions. This contextual information is key to
understanding the nature of past violence (Martin et al. 2012). This investi-
gation of lethal trauma associated with the Kiel Ranch brothers provides a
unique opportunity to demonstrate how trauma is key to a better understand-
ing of the context regarding the death of early frontier men in the growing
cities of the American West.
farm near the Old Mormon fort that had been established in the 1850s. The
second decision Gass made in an attempt to please his family, who missed the
amenities of Ohio life, was a grave financial mistake. Gass, the owner of nearly
1000 acres of land (in what was at the time Arizona territory), had come into
debt. Between the taxes he owed the fledgling state of Nevada, the pressure of
nearby Army soldiers bartering for his produce, and lawsuits concerning land
south of Los Angeles, Gass mortgaged his property to manage his debt.
Turning to businessman Archibald Stewart in Pioche, a mining town north
of Las Vegas, Gass mortgaged his ranch for 5000 dollars in gold. Within 3
years, Gass defaulted on the mortgage and the ranch became Stewart’s prop-
erty (Moehring and Green 2005).
With both the Stewart and Kiel families now owning separate ranches in Las
Vegas, the small market of soldiers, settling pioneer families, and travelers
making their way to the Pacific coast began to compete. Strife between the
ranch families was exacerbated by two conflicts that erupted in 1884. First,
Kiel aggravated relationships with the Stewarts by accusing Archibald of
swindling his friend Gass out of land. Second, a Kiel family ranch hand by
the name of Schuyler Henry inflamed the conflict by allegedly spreading
gossip about Mrs. Stewart, his former employer. On June 13, 1884, Archibald
returned home and rode out with his gun to confront his former employee
about the gossip that he had heard. He never returned. Helen Stewart, a
debutante who played a key role in later developing Las Vegas, received a
note from Conrad Kiel that afternoon that her husband was dead. Burying him
on a hill in a coffin fashioned from two doors of their ranch house, Helen
Stewart forever blamed the Kiels for her husband’s death, noting that she
believed her neighbors and the gunslingers they associated with had ambushed
Archibald (Townley 1973).
Some say that Archibald’s death was what motivated additional violence
that erupted on the Kiel Ranch in 1899 (Martin 1988). That year, Conrad
Kiel’s nephews and heirs to his property, Edwin and William Kiel, assumed
management of the ranch. Edwin had just moved west and together the
brothers joined the list of neighbors with whom Helen refused to speak.
One morning in October 1900, Helen’s new suitor Frank Roger Stewart and
his son William went to the Kiel Ranch. Supposedly visiting to report the
arrival of wagon wheels in town, they found the two brothers’ bodies near
the adobe house that still stands in North Las Vegas today. A coroner
rapidly determined that the brothers had engaged in a murder–suicide and
the bodies were promptly buried. Edwin, accused of killing his brother
William with a shotgun and ending his own life with a handgun, was buried
facing east so that he would not face Christ on judgment day (Brooks and
Brooks 1984).
292 Interpreting gunshot trauma as context clue
Archibald Stewart, William Kiel, and Edwin Kiel’s deaths are not the only
violent incidents that occurred around the Kiel Ranch, though they seem to be
the best remembered. Carrie Marie Townley, in writing the biography of Helen
Stewart, documented the everyday violence that appears to have been common
in frontier life (Townley 1973: 230–1). She writes:
. . .If Parish enjoyed the reputation of a gunslinger, the reputation of the Kiel Ranch
was not much better. It was not uncommon for a rough crowd to congregate there.
On December 1, 1894, a man named Gibbons was maimed when the side of his face
was shot off during a quarrel over a card game by two men with a price on their
heads, Gay and Butcher. Henry Hudson Lee, long time resident of Lincoln County
and one-time county recorder, remembered that Jack Longstreet, another gunslinger
residing in Lincoln County was known to hang out frequently at the Kiels.
According to Lee, the Kiel Family did not enjoy a good reputation; people did not
speak well of them.
This account of “rough crowds” congregating around the ranch seems accurate
given the way in which tension erupted in fatal shootouts such as the ones in
which both Stewart and Kiel blood was spilled between 1894 and 1900. One
can only wonder how commonly such violence may also have affected the
Paiute and other Native American laborers working in and around these North
Las Vegas ranches (see Blackhawk 2006).
William and Edwin’s deaths signaled the formal close of the Kiel tenure in Las
Vegas. Conrad’s wife passed away in 1899 and this left no one invested in the
farm, general store, and small estate, consisting of about 250 acres of land, one
horse, and cattle left behind by the brothers (Townley 1974: 11). The
remaining Kiel heirs sold the ranch to the Utah, Nevada, and California
Railroad Company in 1901. The ranch passed through many hands, ending
with the City of North Las Vegas. In 1975, the City of North Las Vegas
contacted anthropologists at the University of Nevada, Las Vegas, to remove a
small cemetery on the land associated with the historical Kiel Ranch. The city
had acquired the property in preparation for a 1976 Bicentennial project in
which the city would transform the Kiel Ranch into a historic site that would
honor the history of American expansion, patriotism, and the formation of the
state of Nevada. However, the violent deaths of two long-forgotten brothers
would rewrite this history. The bodies of William and Edwin revealed the
violence that occurred in the 1890s on the ranch. These skeletonized bodies
were not found until 1976 when they were excavated (ranch history up until
1980s provided in Martin 1988).
John J. Crandall et al. 293
With consent of the relatives at the time of exhumation, the remains recovered
from Kiel Ranch were analyzed and described by Sheilagh and Richard
Brooks, anthropologists at the University of Nevada, Las Vegas (for a full
description of this analysis see Brooks and Brooks 1984).
Using a backhoe, five burials were excavated from the small plot. With
student volunteers, all four adult burials and one infant burial were carefully
excavated, photographed, inventoried, and analyzed. Using historic dental
records, former coroner’s reports, archival research, and forensic osteological
techniques, each burial was positively identified as a member of the Kiel
family. Brooks and Brooks (1984) noted that two of the four adult burials
(identified as Edward and William Kiel using dental records and historical
context) exhibited evidence of gunshot-related trauma to the crania. One of
these two individuals also exhibited a possible injury to the bones of the left
forearm. This injury is not identified as being associated with the gunshot
trauma.
In their analysis, the Brooks suggest that the brothers did not die of a
murder–suicide but more likely were victims of a double homicide. Their
discussion of cause of death, however, was based only on the osteological
information and did not consider weapons found with the burials, broader
context of the crime scene as documented in a 1900 coroner’s report, or
broader comparative data regarding GSWs throughout the historic West.
Additionally, given that the analysis was conducted a number of decades
ago, much of the information about GSWs has changed as forensic anthropolo-
gists have continued to refine the techniques of identifying and interpreting
trauma related to projectiles fired from firearms.
the lives and deaths of the individuals interred at the ranch and to see if
contextualization of gunshot-related trauma into broader bioarchaeological
and historical literature could further shed light on why these individuals
died violently.
16.3 Methods
The reanalysis of the human remains from Kiel Ranch was performed using
osteological techniques widely applied in both bioarchaeological and forensic
contexts. Biological profiles, including estimation of age at death and sex,
were established macroscopically using the pubic symphysis, cranial suture
closure, and visual assessment of skeletal morphology in conjunction with sex
estimation metric analyses (Brooks and Suchey 1990; Buikstra and Mielke
1985; Buikstra and Ubelaker 1994; Lovejoy et al. 1985; Meindl and Lovejoy
1985; Phenice 1969). Living stature was estimated through the use of the
FORDISC 3.0 computer software (Ousley and Jantz 2005). All of the individ-
uals from this site were examined for signs of bony pathology and antemortem
and perimortem trauma, and, when present, this was recorded. Trauma was
identified as perimortem or antemortem based on fracture morphology and
whether or not signs of healing were observed (Galloway 1999; Lovell 2008).
Pathological conditions were identified by unusual bone formation or destruc-
tion as well as abnormal bone shape, size, or density (Ortner 2003). Detailed
descriptions of any pathological bone were recorded during the analysis. The
information was then compared to paleopathological reference texts (Aufder-
heide and Rodríguez-Martin 2003; Ortner 2003).
The interpretation of gunshot injuries in bioarchaeology is largely mani-
fested in the literature as case studies. These case studies have greatly
advanced careful analysis and remain useful given the paucity of large histor-
ical skeletal assemblages rich in contextual information. It is key, however,
that scholars begin to present data objectively so that comparative analyses,
such as the one presented by Crist (2006), can be advanced and used to test
theories regarding the function and consequences of violence in an anthropo-
logical context. Discussion of fracture pattern analysis in an osteological
context is presented in Berryman and Symes (1998). Novak and Kopp
(2003) present an excellent population-level analysis of GSW trauma in a
fragmentary, commingled skeletal assemblage derived from the Mountain
Meadows massacre. Their research and the subsequent biohistory of the
massacre, which situated trauma data in the context of American history and
culture (Novak 2008), provide an excellent model for future bioarchaeological
research.
John J. Crandall et al. 295
For the Kiel brothers the following data were collected from the available
bones: anatomical location of the wound, number of wounds, wound size,
wound morphology, and direction of wounds. This information allows an
estimation of range of fire, caliber, and projectile type to be made (Komar
and Buikstra 2008: 176).
Once all data were collected, the kinds of projectile, the nature of each
wound, and the relative range and force of the injury were carefully estimated.
First, entry and exit wounds should be differentiated based on the nature of the
defects observed. To determine the anatomical location and number of
wounds, the bones were rearticulated, even if only temporarily, to enable the
reconstruction of the fracture pattern and identify missing bone. While recon-
structed, the remains were photographed and drawn to provide others with data
from which they can consider the interpretations presented in this chapter.
Collectively these data allowed for the reconstruction of the wound track or the
John J. Crandall et al. 297
Biological profile
path the projectiles took through the body, the direction in which the projectile
was fired, as well as the anatomical position the individual was in when shot.
The path taken by a projectile, as well as the order of injuries (in cases of
multiple injury), was estimated by reconstructing the radiating direction of
fractures, the nature of the beveling around the edges of the wound, and the
orientation of exit and entry wounds to the anatomical position of the body in
different postures.
Finally, to analyze the injuries associated with the projectiles fired from the
shotgun, special consideration was needed because of the nature of the project-
iles, as these consist of small pellets in a casing that are designed to spread out
when shot. Given that they fire differently than the projectiles fired from a
handgun or rifle, the effect is that subsequent injuries are more or less severe
depending on the extent of the spread (Nag and Sinha 1992). Using these
criteria and ethnohistoric information about the type of ammunition and
firearms available during a particular period of time, it was possible to narrow
down the possible kinds of projectiles and weapons that might have been
involved in the shooting of the Kiel brothers.
16.4 Results
The results of the skeletal analysis demonstrated that the burials designated
KHUR 3 and KHUR 4 in the University of Nevada, Las Vegas, osteological
collection are consistent with both the findings for the known age at death
records for the two Kiel brothers, Edwin and William, as well as the 1976
analysis performed by Brooks and Brooks (1984). In terms of the biological
profile, both individuals are middle-aged adult males of European ancestry.
Furthermore, the burial designated as KHUR 3 is slightly younger than the
burial designated as KHUR 4, which is consistent with the fact that William
Kiel was slightly older than his brother Edwin Kiel (see Table 16.1).
The patterning of trauma found on both burials is consistent with the injuries
noted on the bodies in the coroner’s report in 1900 as well as the trauma recorded
298 Interpreting gunshot trauma as context clue
Figure 16.1. KHUR 3 – Edwin Kiel: cranial gunshot trauma. Left: entrance wound
located on the inferior occipital. Right: extensive facial fracturing where bullet exited.
by Brooks and Brooks (1984). KHUR 3/Edwin Kiel has a perimortem GSW on
the skull. The entrance wound for this gunshot is located on the inferior occipital.
The distance from major bony landmarks was measured with a tape measure and
this defect was found to be 94.0 mm inferior and to the left of lambda and
43.0 mm inferior and to the left of the inion. The exit wound from the gunshot
is located in the face, with much of the face broken away during the bullet exit.
This defect is shown in Figure 16.1. KHUR 4/William Kiel also has evidence of
perimortem gunshot trauma. The cranium is extensively fractured and has pitting
on the endocranial surface, which is shown in Figure 16.2.
16.5 Discussion
The two KHUR burials at the University of Nevada, Las Vegas, are the long-
forgotten bodies of William and Edwin Kiel, who died at their ranch in Nevada
at the turn of the twentieth century. The importance of this analysis is that it
supports the previous analysis and interpretation of the death of these two
brothers provided by Brooks and Brooks (1984). Additionally, this analysis
identified a previously undocumented traumatic injury that may suggest a
different reconstruction of the events that occurred on the day that Edwin
and William Kiel were killed.
John J. Crandall et al. 299
Figure 16.2. KHUR 4 – William Kiel: cranial gunshot trauma. Left: shotgun trauma
evidenced by a fractured skull with pits on the endocranial surface. Right: two shotgun
entrance wounds.
Looking first at Edwin Kiel, the size of the entrance wound in addition to the
extensive fracturing (see Figure 16.1) suggests that the GSW was the result of
either a large-caliber bullet or a high-velocity bullet (i.e. a rifle). The import-
ance of wound size is that it has been known to be useful for identifying what
type of weapon may have been used to cause a given wound (Ross 1996).
While size alone cannot differentiate the caliber of the bullet or identify a
specific gun (because of significant overlap in the size of injuries resulting
from bullets of differing calibers [Berryman et al. 1995]), it can provide a
general idea of whether or not it was a smaller or larger caliber bullet. For
example, it is possible to differentiate between a .44-caliber and a .22-caliber
bullet.
Analysis of radiating fracture lines is useful because the extent of fracturing
can help to determine the type of firearm that was used. Clinical literature
demonstrates that the patterning of fractures is variable, and is based on the
biomechanics of the tissue where it impacts, the velocity at which it was fired,
and the composition and mass of the bullet (Courtney and Courtney 2012;
Hofbauer et al. 2010; Nunamaker and Berg 1985; Smith et al. 1987). A second
benefit of analyzing the extent of fracturing is that it can help determine the
general range or distance at which the gun was fired. Range can also be
determined by the presence of soot, abrasion rings, and other unique kinds
of wound morphology assist in interpreting whether an injury occurred at close
contact, intermediate, or distant range. The problem with this burial is that the
lack of soft tissue made it very difficult to identify if a gun was used at close or
long range. One possible solution is to look for soot staining and periosteal
lifting on the bone. Unfortunately, preservation is an issue as both natural and
300 Interpreting gunshot trauma as context clue
Figure 16.3. KHUR 3 – William Kiel: gunshot trauma on the vertebra. Left: lead shot
embedded in the sixth thoracic vertebra. Right: X-ray of the vertebra and lead shot.
possible that he was attacked first from a distance, injured, and then
approached by the perpetrator who shot him at close range. Again, it is
unlikely that the bullet ricocheted as it entered the back of the body and was
clearly lodged in the lamina of the vertebra, showing no sign of having entered
via the neural canal or through the vertebral body. No other injuries to the
thoracic region of the body suggest shotgun injuries from the sides or front of
the body. Edwin Kiel, perhaps after hearing the sound of gunshots on his
ranch, appears to have been ambushed at close range and shot in the back of
the head by the second perpetrator. This just represents one of the many
possible scenarios that could explain the trauma, however, and no definite
conclusions can be made.
Interpreting traumatic injuries in the historic skeletal record is difficult.
Skeletal data, paired with historical information and contextual clues derived
from the 1900 crime scene investigation, permit us to posit that the Kiel
brothers were the victims of a double homicide involving at least two perpet-
rators. The pattern of skeletal injuries identified in this study suggests a
conflict that began at distance, with the perpetrators closing in on the brothers.
Wounds to William’s arm and the presence of jammed weaponry at the crime
scene suggest that the brothers attempted to defend themselves. These findings
302 Interpreting gunshot trauma as context clue
allow us to suggest that perhaps the brothers were the victims of an ambush.
We are not likely ever to know the true identity of the perpetrators; however,
the tension between the Kiel and Stewart families certainly provides support
for possible revenge by the Stewarts. Alternatively, the high prevalence
of violence on the frontier and reported "gunslinger" activity around the
Kiel Ranch may simply have put the brothers at increased risk of violent death
for a series of other reasons that frontiersmen faced (see Courtwright 1998;
White 1981).
Determining whether a violent event could have been foreseen by the
victims is difficult in both archaeological and forensic contexts. For bioarch-
aeologists, such information could help to understand the nature of violence as
it might be linked to political struggles. Yet, no method has to our knowledge
been proposed by which to determine whether projectile trauma came as a
surprise or was part of a planned "shootout." Bioarchaeological comparison to
a growing body of literature documenting historical gunshot injuries should be
useful in assisting in such interpretation.
victims were reanalyzed by Shannon Novak and colleagues and have since
been the subject of a number of bioarchaeological publications (e.g. Novak
2008; Novak and Kopp 2003). Projectile trauma, analyzed in Novak and Kopp
(2003), provides useful comparison for interpreting the context of the Kiel
brothers’ deaths for a number of reasons. First, the Mountain Meadows
massacre seems quite politically motivated (see Novak 2008; Novak and
Rodseth 2006 for discussion), with the likely perpetrators defending what they
saw as their sovereignty and livelihood through the event. If the Kiels were the
victims of a revenge killing that stems from the strains of similar political or
economic competition (see Moehring and Green 2005 on political competition
in early southern Nevada), we might expect similar injury patterns. Second, the
Mountain Meadows massacre yielded survivors whose recollections inform
the interpretation of the violent events that occurred. Finally, the analyses
conducted were thorough, and much information regarding the injuries of each
victim is available for comparison.
The Mountain Meadows assemblage included some 1400 fragments of
cranial bone. Of these, 25% exhibited radiating fractures, indicating perimor-
tem trauma caused by blunt or projectile injuries. Gunshot entrance and exit
wounds were also the most common lesions observed in the cranial remains.
Of the five injuries for which locations of entrance and trajectory could be
reconstructed, four consisted of injuries entering the back of the skull and
exiting through the face (Novak and Kopp 2003: Figure 7). These injuries
appear similar to those suffered by Edwin Kiel.
In interpreting the violent events at Mountain Meadows, Novak (2008: 161)
notes that “the pattern of trauma is consistent with point-blank, execution-style
shooting as opposed to a long-distance killing under battlefield conditions.”
Unlike injuries sustained in warfare, the wounds seen in Mountain Meadows
largely occur at close range, are execution-style in many cases, and are not
irregular or the result of long-distance shots. When considered alongside the
blunt force trauma found at the massacre site, it is also clear that the assailants
rapidly closed in on their victims and used rifle butts or other objects to
bludgeon victims. The individuals appear to have been shot in the front of
their bodies first at a distance and then, later, the victims were killed at close
range.
This pattern of wounds (starting at a distance and ending in execution style)
is seen at Kiel Ranch as well. William Kiel exhibits injuries to the back and
arm that suggest some distance between his assailant(s?) and himself at the
start of the fire fight. Yet, the final traumatic event that likely ended his life was
a point-blank style injury from a shotgun to the side of his face. Edwin also
exhibits a point-blank execution style shot to the back of the head that is
similar to those documented by Novak and Kopp (2003).
304 Interpreting gunshot trauma as context clue
16.6 Conclusion
Acknowledgments
Funding to present preliminary versions of this work was provided by the
Graduate and Professional Student Association of the University of Nevada,
Las Vegas. We would also like to acknowledge the assistance of Dr. William
Bauer and Dr. Debra Martin and attendees of the 2012 Mountain, Desert, and
Coastal Forensic Anthropologists meeting for helpful comments and guidance
in completing this project. Finally, we wish to acknowledge the late Drs.
Sheilagh and Richard Brooks, whose notes, work, guidance, and insights led
us to this project.
References
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fracture patterns in an archaeological specimen. International Journal of
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Berryman, H. E. & Symes, S. A. (1998). Recognizing gunshot and blunt cranial trauma
through fracture interpretation. In: Reichs, K. J. (ed.) Forensic Osteology:
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C. Thomas, 333–52.
Berryman, H. E., Smith, O. C. & Symes, S. A. (1995). Diameter of cranial gunshot
wounds as a function of bullet caliber. Journal of Forensic Sciences, 40, 751–4.
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Smith, O. C., Berryman, H. E. & Lahren, C. H. (1987). Cranial fracture patterns and
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Part V
Concluding thoughts
17 Living on the sidelines of death:
anthropologists and violence
al ison g a l l o w a y
17.1 Introduction
Bioarchaeological and Forensic Perspectives on Violence: How Violent Death is Interpreted from
Skeletal Remains, ed. D. L. Martin and C. P. Anderson. Published by Cambridge University Press.
© Cambridge University Press 2014.
311
312 Anthropologists and violence
has for tension. While people may find working on forensic cases an intriguing
topic of conversation, there is less willingness to hear the details – the
maggots, the smell, the decomposed organs within the body cavity. Chills
run up the spine when we say that we “cook the body,” but visualizing a pot in
which nail-polished hands bob up and down is a bit more than people want to
know.
Family members often tire of hearing about cases in all the, often gory,
detail. The choice of subject matter for work was ours, and not necessarily that
of our families. This reticence to speak openly to family members about cases
increases when there are younger children present. I stopped bringing my
young daughter to the laboratory when she began asking if the stab wounds
in the spine of a victim had hurt him. She did not return to the lab for many
years after that, although she is now rather matter-of-fact about dead bodies.
The other factor that limits what we, as forensic anthropologists, can say to
others is the problem of dealing with forensic evidence. Active cases require
careful regulation of the release of information. Press coverage of cases will
publicize certain details but often many intimate details are not included and
may not be known beyond a small circle of investigators until the case goes to
trial. Many cases never go to trial so this information remains concealed. While
the wartime saying of “loose lips sink ships” now better applies to cyberspace,
inappropriate talk can sink a legal case.
We are known to our colleagues, often in anthropology departments, for
being a bit different. My colleagues in campus administration will acknow-
ledge that something is odd about my response to bodies. I have been known to
sit up sharply when a “burn pit” is mentioned in a campus planning activity –
only to slump when it was evident that I could not use it for experimentation on
thermal damage to remains. I also have a large number of non-human skeletal
elements and El Dia de los Muertos artifacts in my office. It has become
standard practice to give me skeleton cards, calendars, trinkets – anything as
long as it has bones. Even my family has succumbed to the tradition and
stopped trying to convert my décor to more acceptable designs of flowers or
geometric patterns.
However, to revel too much in the dead is not appropriate and shows an
indifference of the respect due to all individuals, living or dead. Our livelihood
does, in part, depend on the deaths of others. So, we must temper our almost
gleeful anticipation of a “good case” with the knowledge that, for a case to
come our way, someone died.
So, how do we cope? We find ways to breach the boundaries of the isolation
by reaching out to colleagues beyond our immediate circle. Some are fortunate
to work in coroners’ or medical examiners’ units with colleagues who share
the same experiences. However, many of us work in academia. These
314 Anthropologists and violence
conversations are often not ones to share with our departmental colleagues.
Our students share a part of this life, but until they have come to understand the
world in which they are immersing themselves, we often do not confide fully
in them. Revealing excessive vulnerability can also be problematic for a
mentor to a mentee. Many of us hold things inside until we have the chance
to share with like-minded colleagues.
The public often see professional conferences as a place where the latest
information, processes, and practices are exchanged. Equally important for
those of us who work with the dead is the opportunity to talk with others
whose experience is comparable. Much of the time is spent “out-grossing”
each other – an important release valve for the types of things we experience.
I often spend some of the time with the entomologists since one of my areas of
research has been decomposition. While we happily discuss the various attri-
butes and accomplishments of maggots and other larvae, the neighboring
tables begin to empty.
with carefully sculpted and purple-dyed hair. He had been looking forward to a
weekend of partying just hours before the heroin overdose claimed his life.
I remember the hair.
Bioarchaeologists who work with victims of violence also capture images.
The flesh may be long gone but the ages, the poses, the cut marks or blows are
clearly visible. In these settings the reasoning behind why the people were
killed and why they were placed as they were in death cannot be fully known.
The investigator is left trying to reconstruct the unfathomable.
The right to participate in gallows humor also marks the acceptance into a
professional community. Students who overly joke about the bodies are eyed
with suspicion, and senior practitioners either address the behavior or may
decline to continue the association. It is often the mentor’s role to initiate
and set the level of humor for the students.
For killers to be able to kill, they see their victims as less than human. Levin
and Fox (2007) suggest that many sadistic killers do not fit the well-publicized
stereotype of having an extreme personality disorder. Instead they argue that
the killer is able to overcome his/her very normal forces of conscience by
compartmentalizing his/her activities and by dehumanizing the victim.
For the anthropologist dealing with the remains of the victim, we witness the
results of the dehumanization while simultaneously needing to dehumanize the
victim so that we can conduct our studies. In order to perform our work, we
must continue the desecration of the remains to reveal the information they
contain. We strip the bones of their flesh, examine each bone microscopically,
photograph it from every angle, and intrude into all the private areas of the
remains. We, too, compartmentalize these activities away from the rest of our
lives, and we must enter our scientific mode to remove the full humanity from
the deceased individual.
In modern society, the murder of certain categories of people is considered
more reprehensible. These include those individuals who are unable to provide
even some level of defense – children, the severely handicapped, the elderly.
Yet these are often the victims of violent crime, of mass disasters, and of
genocide. In the bioarchaeology context, the discovery of the bodies of
children as victims of either massacre or sacrifice is noted throughout the
world. Again, as the osteologists, we can adopt the approach that these are
scientific data as we complete the examinations and analyze the data. How-
ever, always lurking behind the screen we have mentally established is the
understanding that other humans deliberately murdered people who we would
now consider as innocent and harmless.
These changes usually do not reach the level where symptoms become debili-
tating but they can interact with other aspects of our lives.
PTSD is an anxiety disorder commonly associated with those who have
experienced life-threatening events, such as military combat or physical or
sexual assaults. However, it can also be experienced by those who encounter
death on a repeated basis, such as coroners, death investigators, and forensic
experts. While the etiology is unknown, it is believed that the extreme expos-
ure changes the biochemistry by which the person deals with emotions in the
future. Changes in the transmission of neurotransmitters possibly underlie the
symptoms.
Symptoms fall roughly into three categories. The first is the “reliving” of the
event. Sufferers report flashbacks or dreams in which the events are repeated.
Many of us in the field also experience dreams that have images most would
find unpleasant. Decomposing bodies, skeletons, and evidence of terror may
litter the dreams but not cause particular distress. However, there are times
when circumstances do bring to mind the power of what we have witnessed.
If I were to dream of a rotting corpse, I do not become distressed; however,
if I dreamt of being murdered, or, worse, doing the murder, it is time to
re-evaluate the situation.
The second major group of symptoms involves avoidance. This cluster
includes an overall numbing of emotions and a retraction from circumstances
that would trigger images. Many symptoms in this group are similar to those of
depression. Finally, there is a cluster of symptoms around arousal in which
those who suffer from PTSD have difficulty concentrating and are easily
startled, constantly alert, irritable, and have difficulty sleeping.
Considerable work has been done on first responders, which may include
anthropologists, especially in multifatality incidents. Brondolo and colleagues
(2007) worked with the body handlers from the 9/11 incidents and noted that
many were overwhelmed not only by the volume of remains but by the
duration of the investigation that dragged on for over 4 years. In the immediate
aftermath of the World Trade Center disaster, there was an airline crash with
275 victims, which overlapped with the other analyses. People whose profes-
sional work usually kept them separated from the survivors were thrust into
roles of collecting antemortem data from families. Despite these circum-
stances, Brondolo notes that other studies show that the rates of PTSD are
relatively low amongst World Trade Center workers. The incidence of acute
stress disorder among those responding to air crashes may be as high as 25%
(Fullerton et al. 2004), while officers involved with the World Trade Center
showed rates of PTSD or partial PTSD up to 15% (Marmar et al. 2006).
Much of the psychological damage to workers on mass disasters can be
avoided by preparation (Brondolo et al. 2007). While the events are
318 Anthropologists and violence
unpredictable, training and practice sessions make the response more predict-
able. Mechanisms to provide information on progress and supporting perform-
ance are also beneficial. While mental health professionals would appreciate
greater involvement in the support of body handlers, there is reluctance to seek
these services. Much of this may lie in the perception of the isolated profes-
sional life (see above).
Less information is available about the effects on those who repeatedly
see the results of violence over a long period of time, such as medical
examiners, death investigators, autopsy technicians, and anthropologists.
Probably the best to date is a study of volunteer workers in Israel who
recover bodies and body parts after explosions, often perpetrated by suicide
bombers (Solomon et al. 2007). Surprisingly, these individuals showed
lower rates of PTSD than the general population. Furthermore, those
individuals who employed a “repressive coping strategy,” as defined by
Weinberger et al. (1979), were better protected than others. Such body
handlers report lower anxiety although they often exhibit higher levels of
physiological anxiety (heart rate and blood pressure), a response pattern
more fully explored by Mendolia et al. (1996) and Sparks et al. (1999).
In other words, their anxieties are repressed. Solomon and associates (2007)
noted that these individuals also reported a lower sense of danger in their
work, although their sense of safety was no better than the other, non-
repressive, individuals.
Self-selection may play a role in the relatively low incidence of mental
health issues. As a professor, I have many students who express the intense
desire to become forensic anthropologists – until their first experience with a
decomposing body. Because the anxiety must be “put aside” when working on
remains, those who choose to make it a career may be biased towards those
whose coping strategies are, in general, better matched. As one matures in the
field, the feeling of competence makes situations more controllable even
though every case presents new circumstances.
There comes a time, however, when one gets tired of seeing dead bodies. It
is not the dead themselves that cause the problem, it is the implication of what
humans can do to each other. For each homicide we see as a corpse, there was
someone or a group of people who were capable of putting aside their shared
humanity to kill. It is not the death we seek to avoid seeing but the killing.
I have known people in the field who have gotten so weary of death that they
have given up the sport of hunting, which they previously enjoyed. I am
addicted to a good murder mystery, whether in text or film, but routinely skip
over any reference to the actual act of killing. My ability to repress only works
so far and I make conscious choices to avoid situations that threaten to
overwhelm my abilities to accommodate.
Alison Galloway 319
17.7 Conclusions
References
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Index
321
322 Index
cranial depression fractures (CDFs), 196–206, economic autopsies, see Patio 29 grave
197, 198 education (for understanding violence), 6,
cranial modification 311–19
and captivity, 110–11 Ellis, F., 86
and social identity, 11, 238–40 Erkol, Z., 77
and trauma, 246, 247–50, 248, 250, 252–4 Esther (mummy), 150
depression fractures, 196–206, 197, 198 ethnogenesis, 239–40, 254
craniosynostosis, 157 ethnographic data, see also ethnohistoric data
Creutz, Lorentz, 36 and interpretation affecting local culture,
Crist, T., 294, 297, 302 148–63
Cromwell, O., 149 importance of in interpreting violence,
crossbow, 278–9 86–8
CT-scanning, 21–2 ethnohistoric data, see also ethnographic data
culture and aggressor identity, 261–3
and injury recidivism, 114 and captivity, 107–8
and violence for resolving problems, 9–10, and ritualized battles, 142–3
134–45, 139 and victim aggressor interchange, 281–2
Currey, J., 295 importance of in interpreting violence,
88–90
Darling, A., 86, 186 Kiel Ranch, 290–3, 301–2
Darrien Bluff (site), 153–5 of Fort King George “skull”, 151–8
Davidson, R., 318 of governmental violence in Chile,
defacement, 158–60 219–22
defect timing, 43–5 of Yaqui culture, 186–7, 187
Delabarde, T., 77 Europe
Demirci, S., 77 Austria, 22–6, 23
demography, see also population data Finland, 75–6
and captivity, 109 Poland, 65, 74
based on skeletal remains, 36–7 Spain, 151–2, 152, 172–3, 261–3, 265,
in bioarchaeology, 29–31 282–3
of Kronan battleship, 39 Sweden, 34–48, 36, 38, 40
problems identifying due to comingling of TBI in, 114
remains, 20–1 exhumations (burial), 224
Deniz, I., 77 Ezzo, J., 195, 197, 207, 209
Derechos Humanos Identificación, see Servico
Medico Legal (SML) face-to-face conflict, 134–45, 139
DeVisser, E., 11 FBI (Federal Bureau of Investigation), 4
Di Nunno, C., 77 femora
Di Nunno, N., 77 as most frequently found skeletal remain, 19
Díaz, Porfirio, 174, 177 comparison between archaeology sites, 23,
DiMaio, V. J., 57 23–7, 25, 26, 27
dismemberment for gender identification, 29–31, 36–7
cases, 8, 68–75, 69, 73 for testing battle victim hypothesis, 21–3
classification, 64–5, 66 femur, see femora
forensic protocols in, 65–7, 67 Finland, 75–6
Dittrick, J., 29 firearms, see gunshot
diving bells (maritime salvage), 36–7, 47–8 Fish, S., 88
Dogan, K. H., 77 Flohr, S., 7
Druid, H., 57 forensic anthropology
Duncan, W., 10, 88, 92 and dismemberment, 8, 63–80, 66, 67,
During, E. M., 35, 39 69, 73
324 Index