Analyzing Multi-Agent Assemblages

  • Diane Gifford-Gonzalez
Chapter

Abstract

Many archaeofaunas encountered by zooarchaeologists may bear evidence that testifies to complex post-mortem histories, so the problem of “multi-agent assemblages” is not just a concern of zooarchaeologists grappling with the who-done-it of early hominid faunal assemblages. Chapter 17 discusses untangling the primary agents of accumulation and modification in “multiagent accumulations,” where evidence for the action of more than one actor or process exists. It notes that actors and processes responsible for accumulation may not be identical with those responsible for modification. It advocates as a first step in this process listing all possible bone accumulators and modifiers and systematically eliminating some through contextual evidence, bone surface modifications and other traces on specimens, and in some cases arguing from clearly articulated, actualistically based first principles. No “recipe” for multiagent accumulation analysis exists, so to illustrate how zooarchaeologists have approached this, the chapter presents four case studies from Plio-Pleistocene and early Holocene epochs. Chapter 17 is intended to bridge between the book’s preceding section, which largely dealt with causal relations between actor and effector and their products, and the balance of the book, which addresses the use of aggregated data from archaeofaunal samples. It presents an argument that zooarchaeologists might follow paleontologists with multivariate statistical assemblage characterization and comparison and suggest the potential benefits of a Bayesian statistical approach.

Keywords

Multiagent Olduvai Swartkrans Peninj Die Kelders 1 Yarimburgaz Cave Cueva—cueva 4 Quebrada Seca 3 

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Copyright information

© Springer International Publishing AG, part of Springer Nature 2018

Authors and Affiliations

  • Diane Gifford-Gonzalez
    • 1
  1. 1.Department of AnthropologyUniversity of CaliforniaSanta CruzUSA

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