A review of analytical methods for assessing preservation in waterlogged archaeological wood and their application in practice

Waterlogged archaeological wood can present management challenges due to its vulnerability to chemical and biological decay, both during burial and post-excavation. Decay processes also often leave it severely weakened and therefore susceptible to mechanical damage. Quantifying preservation and understanding active decay mechanisms is therefore critical in informing the management of this unique cultural resource. It is critical that assessments of preservation are robust, and sensitive enough to allow changes over time to be detected. A wide range of analytical methods can be applied to assess the state of preservation of waterlogged archaeological wood, and determining which of these is most appropriate to the circumstances can be challenging. This review summarises some of the most commonly reported methods suitable for the analysis of waterlogged archaeological wood, ranging from widely used ‘low-tech’ methods, to assessment using advanced analytical instrumentation. Methods are evaluated in terms of the information gained weighed up against their cost, logistical considerations, and time investments, with the aim of supporting the development of an analytical strategy. We conclude that although an analytical strategy must be informed by the aims of assessment as well as any external restrictions, the best available analytical techniques should be employed in order to supply an accurate baseline against which future change can be measured. Critically, a multi-analytical approach is vital in obtaining a clear picture of the present state of decay, as no single technique gives the best assessment.


Introduction and background
Assessing the current state of preservation of waterlogged archaeological wood provides vital information on decay trajectories, archaeological significance (the state of preservation is likely to influence the level of detail that can be retrieved from an object), and the potential consequences of changing conditions [1,2]. Appropriate analysis establishes a robust baseline against which any further deterioration can be tracked, for example: when a site is being monitored [3,4], when comparing material from different sites or phases of investigation [5,6], or when gathering experimental data on decay mechanisms [7][8][9]. Analysis is also important post-excavation; detecting decay over periods of storage or display can help identify when conditions are not conducive to the continued survival of an object [10,11]. Analysis during or after conservation can be a critical part of establishing when a conservation treatment has worked, or indeed is having a negative effect [12,13]. Understanding the structure of wood, the potential decay mechanisms acting upon it, and appropriate techniques that can be used to assess and track these mechanisms is therefore important for archaeologists, conservators, and heritage management professionals.

The structure and decay of waterlogged archaeological wood
Fresh wood is made up of a system of cells composed of three major biopolymers, closely linked and arranged in fibrils (Fig. 1). The first of these, lignin, composes roughly 25-35% by mass, whilst cellulose and hemi-celluloses (two types of polysaccharide) together make up roughly 65-75%. A variety of 'extractives' (non-structural components such as pectins, tannins, resins, and oils) contribute up to 10% by mass. An in-depth description of the anatomical structure of wood is outside the scope of this review but can be found in e.g. [14][15][16].
Archaeological wood is subjected to a variety of both chemical and biological decay processes during its deposition and burial, resulting in a material with a very different chemical composition and structure to fresh wood [14,17]. Under the anoxic conditions provided by waterlogged environments, decay processes are significantly slowed and primarily driven by anaerobic biological agents [15,18,19]. These agents preferentially attack polysaccharides via enzymatic degradation, with hemi-celluloses being particularly vulnerable [15,20]. Some studies demonstrate that chemical deterioration of cellulose also occurs in waterlogged environments, particularly under extreme conditions such as low pH [6,10]. Lignin is generally considered to be much more resistant to biological decay, largely due to its highly stable structure: a large 3 dimensional network of cross-linked polyphenol sub units ( Fig. 1; [20]. The preferential decay of celluloses means that waterlogged archaeological wood is often characterised by a high lignin content, with celluloses completely depleted in some cases [21,22]. In waterlogged environments, the cellulose-depleted cell walls become instead filled with water, allowing the structure of the wood to be maintained [20]. However, this ligninrich skeleton is a very fragile material that is highly susceptible to mechanical damage and can collapse or warp very easily when dried [12,23].
Although comparatively stable, decay of lignin does also occur. In particular, certain anaerobic fungi digest lignin via enzymatic oxidation [15,21]. This results in modification of the sub-units, for example an increased concentration of the more resistant guaiacyl-type lignin compared to syringyl-type is often observed in decayed wood [16,17].
Exchange with the burial environment can influence the chemical composition of waterlogged archaeological wood. Many 'extractives' are water soluble, and therefore present in drastically lower concentrations or completely absent [14,17]. The highly porous nature of wood means that minerals from the burial environment (such as iron sulfides, phosphates and calcium) may become incorporated into the cell walls over time, resulting in a higher inorganic, or 'ash' content [17,24]. A particularly problematic process is the build-up of sulfur salts in wood from marine environments, as these can oxidise when exposed to air and form sulfuric acid, leading to subsequent hydrolysis of cellulose [25,26]. The presence of iron (e.g. from nails) alongside sulfur in particular can lead to the formation of a wide range of salts within the cellular structure, which leads to extensive mechanical damage if they occupy more volume than the precursor molecules [26,27]. The identification of inorganic components can be critical for predicting the success of conservation treatments and the possible effects of longterm storage.

Challenges in the analysis of waterlogged archaeological wood
Analysis of waterlogged archaeological wood aims to evaluate these chemical and physical changes in order to determine its current state of preservation. This knowledge is vital in informing conservation or management of these objects: an adequate assessment supplies a baseline against which future change can be measured, and provides an indication of whether further changes might be expected as a result of the proposed strategy [1,12].
However, the complexity of waterlogged archaeological wood, particularly its highly heterogeneous nature, presents significant analytical challenges. As deterioration tends to occur first at the surface and progress inwards there is often a gradient of decay, with the inner heartwood much better preserved than the outer sapwood [12,15]. Different species of erosion microorganisms will also result in different patterns of decay [15]. Localized differences in the burial environment may also cause regions of more decayed wood [28], and decay may be influenced by the presence of inorganic objects such as nails [26,29].
Archaeological wood can exist in a range of states; whether it is wet, has dried out, or already undergone conservation will limit the application of certain techniques. Additional challenges can be presented when material has an unknown history of storage/burial environment [12,30].
Traditionally, methods for evaluating the preservation of waterlogged wood have primarily consisted of readily accessible and relatively inexpensive techniques [19,24,31]. However, over the past few decades, the interdisciplinary nature of archaeological and paleoenvironmental research has led to the adoption of more complex methods, ranging from advanced microscopic methods which reveal structural alteration, to instrumental methods which probe molecular changes within materials. The application of these techniques can provide a deeper understanding of how organic archaeological materials degrade, and importantly, the timescale on which this is happening.

Aims of the review
Assessment techniques can provide information on the extent of decay, active decay mechanisms, and the origin of decay (e.g. biological or chemical). However, knowing which methods are most appropriate for certain scenarios is not straightforward. This review aims to provide a critical overview of commonly used approaches for the assessment of preservation of waterlogged wood, supporting the design of a scheme of assessment. The first section, "Assessment of morphological preservation" (summarised in Table 3) provides an overview of techniques which focus on morphological preservation and the physical condition of the wood; this is critical for determining how it will behave in a changing environment, for example during in situ preservation, on museum display, or during storage or conservation. "Assessment of the relative amounts of wood components" (summarised in Table 4) describes methods which allow comparison between samples by quantifying the relative amounts of different wood components present, although they do not provide detailed molecular information. Finally, "Assessment of changes on the molecular level" (summarised in Table 6) discusses techniques that provide information on a molecular level using advanced analytical instrumentation. Such analysis may only be relevant in limited circumstances, but allows the monitoring of very small levels of deterioration over short time periods. In each section, the analysis of cellulose, lignin, and inorganic components are discussed together, as many techniques can be applied to the analysis of multiple components.
Techniques are evaluated in terms of the information they yield, weighed up against aspects such as their availability, cost, and suitability for application to wood in different states. We conclude that due to the heterogeneous and complex nature of waterlogged archaeological wood, a range of analytical techniques should be employed to obtain the best possible picture of the present state of decay. At the end of the review, some recommendations on factors to consider in designing a scheme of analysis based are given.
A more detailed version of this review has been published by Historic England [32]. For further information on applying the techniques, the reader is directed to the longer version or to the additional references included within this review.

Physical evaluation
Descriptive characterisation of the state of preservation of waterlogged archaeological wood is a vital component of routine excavation. It is the most accessible method of evaluation and it can be carried out immediately following (or during) excavations. Analysis of the physical condition can identify compression damage (for example caused by shrinkage of the surrounding deposits). This can be quantified by measuring the vertical and horizontal diameter of once-circular cross sections of wood [33]. Surface details such as tool marks can be lost as degradation progresses and the object surface becomes fragile and distorted; the abundance of visible tool marks has therefore been identified as a proxy indicator of wood preservation [33]. Other physical features caused by decay include 'dog-leg' kinks in vertical timbers (caused by variations in the degree of peat shrinkage with depth), or pointed tops of upright timbers (caused by preferential decay of the outer layers of sapwood, leaving the inner pith (Panter; Bamforth., pers. comms.; Fig. 2; [12]).
While providing valuable information, the downsides of descriptive characterisation are a lack of consistency between analysts and the inherent problems in accurately describing the appearance and texture of an object, making it difficult to compare between samples. A systemised approach to artefact description can help avoid these problems. Van de Noort et al. [34] developed a system where each timber is assigned a value between 0 and 5 based on the clarity of surface information (e.g. potential for species identification or tool mark analysis; Table 1). This system has since been routinely adopted by many archaeological wood specialists [35,36].

Advanced visualisation techniques
Photographs and detailed illustrations of wooden structures are gathered routinely during or post-excavation and supplement initial visual assessment. Advances in technologies are increasingly exploited to provide more detailed records, for example time-lapse photography can be used to visually assess changes in conserved wooden objects exposed to different conditions such as different light levels [30]. Another example is the use of photogrammetry software to create 3D models from digital photographs [37]. These models provide an archive of the shape and surface detail of an object, which are of potential use for identifying changes in physical state post-excavation, during storage, or assessing changes occurring during the conservation process. Photogrammetric software is increasingly accessible, meaning that Fig. 2 Left: Image of an upright wall post excavated from the Iron Age Glastonbury Lake Village, displaying the 'dog-leg' kink characteristic of differential preservation; Centre: timber excavated from a Middle Saxon bridge near Glastonbury, exhibiting characteristic pointed tops, caused by preferential decay of the sapwood due to the tops of the timbers being located above the waterlogged zone; Right: root damage in a wood chip from Glastonbury Lake Village, caused when wood is weakened such that roots can penetrate through it (Images courtesy of South West Heritage Trust) this approach is becoming more commonplace [38]. Despite this, a great degree of skill is still necessary to achieve adequate lighting and contrast to enable observations of surface detail, particularly on wet and dark artefacts such as waterlogged wood.
An extension of photogrammetry is high resolution laser scanning, which provides a more detailed image of surface texture. Lobb et al. [39] demonstrate the use of laser scanning to identify shrinkage post-excavation by comparing multiple analyses of the same object. This is also a valuable method for examining changes in objects following conservation or long-term storage; Middleton et al. [40] compared scans of wooden artefacts before and after a 3-year period of reburial, observing subtle changes that were not visible through visual or photographic examination. Laser scanning requires specialist equipment and expertise, and although this equipment is increasingly available and analysis itself is fast, processing and interpretation of this data can be time-consuming [41].

Loss of wood substance
A range of indices that indicate the 'loss of wood substance' have long been applied to the assessment of waterlogged wood ( Table 2; [42].) These parameters are critical in determining the structural integrity of a wooden artefact, and thus how susceptible it may be to collapse upon drying, conservation treatment, or compression.
As these are often calculated using easily measured parameters such as mass or volume, no specialist equipment is required, and the analysis is therefore very accessible and cheap [42]. Density and maximum water content (MWC) are the most commonly applied parameters, although shrinkage can be used to support these measurements and provides a more realistic view of how wood may respond to conservation treatments (Table 2; [45]). Porosity can be calculated by filling the pores with an inert gas (e.g. helium) offering a nondestructive method of assessing loss of wood substance, in contrast to other indices which require irreversible drying of the sample [44,46].
Despite the apparent simplicity of these measurements, there are difficulties in achieving a standardised method [44]. The high porosity of wood makes an absolutely dry mass difficult to measure as the humidity of the environment is likely to have an effect on how quickly moisture is reabsorbed once the sample has been removed from the oven [24]. There are also inherent errors associated with weighing a sample that has a wet surface [24,47]. Jensen and Gregory [42] highlight the difficulties Table 1 A grading scheme for assessing the analytical potential of waterlogged wood [34] An object is assigned a grade (0-5) based on characteristics such as the visibility of anatomical features and tool marks. This grade dictates its suitability for different types of archaeological analysis [(+) = suitable (−) = unsuitable)]

Grade
Condition Species ID  Dendro-chronology Woodland  management   Technology  Museum  conservation   0  Non-viable  -----1  Very poor  -/+  ----2 Poor The amount of water in the totally waterlogged sample as a percentage of the dry mass Sample is weighed both waterlogged and oven dry [24,42] Basic density The ratio between the waterlogged volume and the dry mass The waterlogged volume is calculated (e.g. by displacement), then sample is weighed dry [43,44] Residual density The ratio between the basic density and the average density of non-degraded wood Basic density divided by the density for non-degraded wood of the same species [45] Shrinkage The size of the dry sample as a percentage of the size of the waterlogged sample Sample is measured in three planes before and after drying [3,45] Porosity The fraction of the volume of a sample not occupied by the cell wall material The waterlogged volume is compared to the pore volume (measured using a gas pycnometer) [42,46] associated with handling small fragments of wood, and recommend that at least 0.5 g of waterlogged sample is used in order to achieve a reliable measurement. Shrinkage measurements also require a sizeable sample (e.g. 2 cm × 2 cm × 1 cm; [3]) and can be difficult to accurately measure in practice. As measurements are based on an assumption that all pore spaces are filled with water, first submerging the sample in water under vacuum is thought to improve reliability of results; Macchioni et al. [43] argue that although vacuum treatment does appear to remove small air bubbles trapped inside samples, in heavily degraded samples it can lead to structural damage and an artificially lowered MWC. High levels of absorbed inorganic materials can also artificially lower the MWC [45]. Despite the drawbacks, calculation of physical parameters such as MWC and shrinkage often provide sufficient information to inform the treatment procedures for wood in a conservation context [20,24]. Furthermore, they indicate the potential for wood to collapse following reburial or during preservation in situ, and therefore play a vital role in determining whether such management schemes are viable [42]. They are also well-established parameters, and their use may allow comparison with earlier studies. However, these indices are not sensitive enough to detect only very small variations in wood composition, for example over a short period of monitoring or storage [44]. If this is the aim of assessment, other methods should be considered in addition.

Physical resistance (density)
Loss of wood substance may vary significantly within a sample, particularly as a factor of depth; this variability should always be considered as part of a sampling strategy. Variations with depth can be addressed using the 'pin-test' , where a steel needle is pushed into the sample and the distance it can be pushed without hindrance recorded [12,48]. This has the benefit of being cheap and widely available, and it has long been used as a standard evaluation technique in wood conservation laboratories.
Measurements of resistance can be better standardised using mechanised probes such as the Pilodyn wood tester, which fires a spring-loaded pin into the wood and measure the depth of penetration [49], or the Sibert decay drill which pushes a probe into the wood at constant pressure and records the resistance met [24]. Both methods offer a minimally destructive analysis and the ability to test multiple points on an artefact. Gregory et al. [49] show that the Pilodyn can be adapted for use underwater and demonstrate good correlation with density as measured using traditional indices. However, variations in density across the surface of an artefact are less easy to account for, and the orientation and species of the wood also affects the depth of penetration [49]. The Sibert decay drill provides a better measure of variations in resistance with depth, although the data is less easily translated into a measure of density [24].

Non-invasive methods for assessing physical structure
A downside of loss of wood substance indices is that methods are often destructive as they require irreversible drying of the sample. Wood density can also be determined using non-invasive instrumental methods, which although less accessible in terms of the instrumentation and expertise required, can be valuable in certain circumstances, for example in the evaluation of very small or highly archaeologically significant objects. They also allow the analysis of an entire object, reducing concerns regarding differences in preservation throughout an object.

X-ray imaging
In the most well-known application of X-ray analysis, an object is placed in a high energy X-ray source and scanned, with the transmitted X-rays producing an image based on the relative density through the object (Fig. 3, left and right). Regions of increased Regions of low density caused by marine wood borer infestation can be clearly seen. Centre and right: a photograph compared to an X-ray scan of an elm pulley block from the "London", wrecked in 1665. X-ray analysis reveals internal features and regions of high/low density not otherwise visible. (Images courtesy of Angela Middleton, copyright Historic England) decay can be observed, for example characteristic tunnelling or calcareous deposits caused by marine boring organisms ( [50,51] ; Fig. 3, left). Internal features such as iron nails, joints and compartments can also be identified, informing a conservation process [52]. Appropriate calibration of the X-ray image enables the calculation of a quantitative value of density based on the image colour, although factors such as the moisture content and object thickness need to be accounted for [53].
X-ray analysis has the advantage that it can be carried out in situ using a portable instrument [53], although stationary instruments are more widely available and typically used routinely to examine archaeological objects prior to conservation [52,54].
Using a synchrotron source rather than a traditional anode tube for X-ray scanning provides the same analysis but at much higher resolution [55]. Although such high-resolution analysis can be important (for example, where the significance of an object warrants an indepth and non-invasive analytical approach), the high cost and limited availability of synchrotron instruments restricts such techniques becoming common use.

Computed microtomography (micro-CT scanning)
A disadvantage of X-ray analysis is that the threedimensional object is represented as a 2D object, and as such density is viewed as an average through the object. X-ray computed microtomography (micro-CT) is a version of X-ray scanning that examines cross sections through an object. When pieced together, multiple of these 2D cross sections can be built up to produce 3D images, thus providing better spatial evaluation than ordinary X-raying [55,56]. Micro-CT can examine objects ranging from the millimetre size to large objects analysed in the field using portable instruments (although these are far less readily available; [57]). Like X-ray analysis, micro-CT can be significantly enhanced by using synchrotron sources [55]. Synchrotron radiation provides better contrast between wood and organic conservation agents such as polyethylene glycol (PEG), meaning that micro-CT can be used to evaluate the penetration and efficiency of such treatments [58,59]. Micro-CT using synchrotron radiation has also been used to examine the distribution of alum salts, used for conservation of artefacts from the Oseberg shipwreck [60]. Micro-CT is becoming increasingly used for the analysis of archaeological wood, with its non-destructive attributes making it an attraction method for both wood species identification [56] and for assessing density as an indicator of deterioration in waterlogged archaeological wood [61].

Ultrasonic testing
Ultrasonic testing is based on the principle that sound waves travel much faster in healthy wood compared to decayed timber; as such the signal from reflected waves alters in accordance with the state of degradation of the object [62]. Ultrasound has the advantage that the effect of water can be readily accounted for, making it ideal for the study of waterlogged wood [63]. It is also fast, portable and non-destructive, making it particularly suited to the analysis of shipwrecks and other submerged structures [62]. However, interpretation of the data can be complex as the reflected signal is affected not only by the water content, but also factors such as the orientation of the timber, and natural variabilities within the wood [62]. Despite this, there is a clear relationship between degradation state (as assessed by other parameters) and measured reflectance of ultrasonic waves [63]. Calibrating this signal against the known density of, for example, surrounding sediment [62] provides a quantitative measure of wood density.

Microscopic analysis of wood structure
Whilst many analytical methods take an average view of the object, microscopy offers a spatial analysis that can be critical in accounting for the highly heterogeneous nature of waterlogged archaeological wood [15,64]. Loss of wood substance, the presence of inorganic salts, and collapse of the structural integrity of cell walls can all be studied using a variety of microscopic methods [19,65]. Microscopy is most commonly used to examine the mode of decay, as characteristic decay patterns can help identify the type of biological attack [64,65]. However, the sample region analysed under the microscope may not be representative of the entire object; therefore microscopy tends to be used alongside other analytical methods which assess a greater bulk of the sample, for example Loss of wood substance or Gravimetric analysis (Acid insoluble lignin/TAPPI methods) [45,66]. Microscopy is non-quantitative, so consistency between analysts in terms of the conclusions drawn regarding the levels of decay is difficult to achieve.

Optical (light) microscopy
The main advantages of optical microscopy are its cost effectiveness and wide availability, both of instrumentation and the expertise available to prepare and evaluate samples [1]. Preparation of samples is theoretically straightforward, involving cutting thin-sections with a razorblade or microtome, although for a less-experienced analyst it can be difficult to achieve this without causing further damage to the structure (particularly in more degraded samples). This problem can be addressed by first embedding the sample in paraffin or resin or freezing prior to slicing [45,64]. However, embedding a sample limits the ability to use biological stains, and freezing has been observed to cause damage to wood that is already highly degraded [12]. As thin-section optical microscopy is often a routine part of archaeological recording (carried out for the purposes of wood species identification) it presents an ideal opportunity to also examine damage to the morphological structure [67].
Using optical microscopy, an assessment of the extent of biological deterioration can be made, as well as the identification of characteristic decay patterns related to tunnelling, erosion, and cavitation bacteria [65]. Studying anatomical features in both the transverse and tangential plane can reveal early features of microbial decay such as etching, as well as advanced decay in the form of residual decay products filling the cells, and tunnelling [45,65]. The use of biological stains can help identify biological activity; aniline blue, astra blue or lactophenol blue are used to highlight fungal hyphae and bacterial colonies [67,68]. Safranin red preferentially stains lignin, so can be used to help visualise morphological features of the wood and identify decay patterns ( Fig. 4A; [64]). The distribution of syringyl compared to guaiacyl lignin can also be studied using reagents which specifically bind to either type (e.g. Wiesner or Mäule reagents; [64]).
Cellulose loss often results in the collapse of the cellulose-rich inner cell walls, which can easily be identified using optical microscopy [65]. Additionally, as cellulose has a crystalline structure it displays a characteristic birefringence under polarised light, appearing as a bright spot ( Fig. 4b; [68]). Viewing thin-sections of wood under polarised light can confirm the presence or absence of crystalline cellulose, as well as distinguish between the cellulose-rich inner cell walls and the lignin-rich secondary cell walls [22,67]. Observation under polarised light can also help identify microbial decay patterns, particularly when used alongside a biological stain [65].

UV and fluorescence microscopy
Advanced versions of light microscopy include ultraviolet (UV) and fluorescence microscopy. Whilst these are typically less widely available, they can provide additional information on deterioration mechanisms. As the aromatic rings in lignin absorb more UV light than carbohydrates, the appearance of a wood sample under UV light in the range 250-300 nm can indicate the relative abundance of lignin [68,69]. Certain stains which contain fluorescing groups that preferentially bind to either lignin, cellulose or hemi-celluloses can be used in conjunction with a fluorescence microscope to observe the distribution of these polymers [64]. The advantage of these techniques is that variations in lignin distribution across the wood microstructure can be examined.

Electron microscopy
Scanning electron microscopy (SEM) involves scanning samples using a focused beam of electrons rather than light photons, and is increasingly common in the conservation laboratory [64]. The high magnification, high resolution, and 3-dimensional nature of the images means that SEM can reveal greater detail than optical microscopy ( Fig. 5). Additionally, in cases where wood has already dried out and become brittle, making thinsectioning impossible, SEM can be employed instead. In such cases, although the identification of species and features such as fungal hyphae may be possible, analysis of cell wall material will be limited [70]. Thinning and separation of the cell wall layers caused by cellulose decay is typically more obvious under SEM than optical microscopy [13,19,71]. Other features of biological decay such as residual decay material, fungal hyphae, and tunnelling are also often clearly visible [68], although evaluation by an experienced analyst may be required to identify this [65].
In standard SEM instruments, analysis must be carried out in a vacuum and requires that samples are dry, which may cause structural collapse to very degraded samples. Some studies have demonstrated that impregnating and 'fixing' a sample in glutaraldehyde, followed by dehydration protects the structural integrity of the sample as it dries, but this process makes the analysis more time consuming [71]. Analysis also traditionally required the samples to be coated in a thin layer of metal so that they are conductive, meaning that this approach was not nondestructive [64]. The development of environmental SEM instruments over the last few decades has removed these challenges, as they allow images to be collected in the absence of a vacuum and without coating. Samples can therefore be analysed waterlogged, removing the need for lengthy sample preparations [64]. However, the presence of water can result in a lower quality image than in traditional SEM [45].
Transmission electron microscopy (TEM) detects electrons passing through a sample under very high vacuum, rather than surface-reflected electrons. It can therefore be used to examine the internal structure of wood, producing very high-resolution 2-dimensional images, and it has been instrumental in the understanding of the structure of wood [64]. However, TEM analysis requires lengthy sample preparation: samples need to be cut thin enough to allow electrons to pass through (70-100 nm), require dehydration and fixing in resin in order to be compatible with the high-vacuum, and are stained with a contrast agent [64]. For preservation assessment, the large expense, complexity of sample preparation, and difficulties in obtaining access to instrumentation would rarely justify the value of the information obtained [45].

SEM-BSE/SEM-EDX
SEM-back-scattered electron (SEM-BSE) or SEM-energy dispersive X-ray (SEM-EDX; sometimes termed SEM-EDS) analyses detect scattered electrons or X-rays emitted from the sample during SEM analysis. As these are characteristic of the atomic weight of the elements present, analysis can provide an elemental map of the surface of the sample, meaning that inorganic components and crystal formations can be characterised [11,25]. Both techniques have also been shown to provide lignin distribution maps when pre-treated with a reagent that preferentially binds to lignin [72,73], and have been used to investigate the effectiveness of conservation treatments [74]. As an additional detector is required for BSE or EDX analyses, not all electron microscopes have this functionality and therefore this type of analysis is less easy to access. However, the ability to assess inorganic components at the same time as examine morphological damage can be valuable ( Table 3).

Assessment of the relative amounts of wood components
Quantification of relative amounts of lignin, cellulose, hemi-celluloses, and inorganic components (ash) is a well-established approach to assessing the current state of preservation of waterlogged archaeological wood (Table 4; [1,45,75]). This does not provide detailed molecular information, rather an overview of the composition of the material. Assessment is based on the assumption that cellulose components of wood deteriorate faster than lignin, and therefore a higher lignin content indicates more advanced decay [48]. A higher level of inorganic components can also indicate decay, as exchange with the burial environment results in the incorporation of various minerals into the wood structure over time [17,24]. The presence of inorganic components causes errors in measurements such as wood density and MWC and has the potential to impact on conservation treatments. Therefore, the determination of inorganic content is an important step in the assessment of waterlogged archaeological wood.

Gravimetric analysis (Acid insoluble lignin/TAPPI methods)
The most established method of determining the overall chemical composition of waterlogged archaeological wood is that of 'acid insoluble lignin' or 'Klason lignin' determination [20,44]. Following standards from the Technical Association of the Paper and Pulp Industry (TAPPI), wood 'extractives' are first removed from a milled sample using a combination of polar and nonpolar solvents [76]. Short chain carbohydrates (i.e. degraded celluloses) can then be removed by treatment with 1% sodium hydroxide (this step is often omitted, as it has been shown to remove degraded lignin residues as well as celluloses; [77]). From this 'extractives-free' sample, celluloses are then digested using hot 72% sulfuric acid, leaving behind the acid insoluble lignin [77]. The relative abundance of different wood components is then calculated based on mass losses at each stage. Typically, a lignin to cellulose (L:C ratio) is derived, allowing comparison between samples.
Chemical extraction only requires access to a wellequipped laboratory; however, the negative aspects of analyses are well documented and include the large amount of sample required (> 1 g; [16]), lengthy analysis times (several days), and the need to handle potentially harmful chemicals. Analysis often indicates a composition of over 100%, suggesting a large degree of uncertainty [47]. This can be attributed in part to the difficulties in handling small samples during multiple filtration steps, but studies evaluating different methods of calculating L:C ratios have also demonstrated that gravimetric methods overestimate the amount of cellulose remaining [78]. Zabel and Morrell [79] suggest that the harshness of the acid digestion causes degradation of lignin, artificially inflating the cellulose content. This is of particular concern in heavily degraded archaeological woods, where lignin may already have deteriorated to some extent, as partially degraded polymers will have increased solubility [1,17]. The certainty of the results may therefore depend on the degree of decay existing in the sample, with more degraded samples giving less reliable results [80]. L:C ratios measured by gravimetry need to be corrected for the 'ash' content, as this also contributes to the total mass [17,45]. Using TAPPI methods, this is typically determined by burning a known mass of the wood at 600 °C, removing all organic components and leaving behind an ash composing of oxidised inorganic compounds. This can then be weighed to provide a percentage ash composition [17,81]. Determination of ash content does not reveal the composition of the ash but allows the correction of other analytical methods [66]. If necessary, the composition of this ash can be further analysed, for example by chemical extraction or instrumental methods suitable for elemental analysis [82]. Ash content can also be determined by thermogravimetry.

Combustion analysis (CHN(S))
A combustion analysis system can give a measure of the relative carbon, hydrogen, nitrogen (and sometimes sulfur) content of a sample (CHN(S)) [83]. The oxygen content can be derived by correcting for any inorganic contaminants and moisture content, or by using an alternative, less widely available combustion system [11]. As cellulose contains more hydrogen relative to carbon than lignin does, a decrease in the hydrogen content relative to the carbon content can signal loss of the carbohydrate fraction [11,17]. Oxygen to carbon ratios also decrease with increasing degree of decay, characteristic of preferential preservation of the carbon-rich lignin component [84].
Elemental analysis by combustion methods requires small amounts of sample (~ 2 mg) and is quick (approx. 20 min per sample). However, the data obtained is limited, with information on the different mechanisms of decay impossible to elucidate [83]. It must also be noted that the percentages can vary depending on the species of the starting material, and although conserved objects can be analysed, the method is heavily influenced by the presence of preserving agents, so caution should be used if the conservation history of an object is not known [11].

Thermogravimetry
In thermogravimetry (TG) a known mass of sample is heated at a constant rate and changes in the sample mass measured using specialist analytical instrumentation. Rapid changes in mass relate to the loss of different components (Fig. 6), and are visualised as steps in a plot of mass loss against temperature. Major benefits of TG are the small sample size required (~ 5 mg) and the fast analysis [85].
The application of TG to the analysis of waterlogged archaeological wood has been demonstrated by several studies [85][86][87]. Significant changes in the thermal activity of waterlogged wood occur first when water is  lost (allowing the calculation of water content) followed by the loss of non-structural components, celluloses, and finally lignin, with the remaining mass after heating to 600 °C representative of inorganic content [86]. The mass loss at each step can be related back to the starting mass, allowing quantitative calculation of the chemical composition. Despite its advantages, TG analysis has not been widely applied to the analysis of preservation in archaeological wood. Instead, it tends to be applied more for the assessment of the success of conservation methods, as it can be used to determine the extent to which conserving agents such as PEG have bound to the wood [88]. Romagnoli et al. [87] recently assessed TG alongside other methods of preservation assessment (MWC and density) and highlighted difficulties in its application including the lack of clear transitions in archaeological data (assumedly caused by the presence of already degraded polymers) which led to a partial overlap in the signals from cellulose and lignin decay (Fig. 6 centre and right). They concluded that more studies need to be carried out in order to ensure its reliability for the assessment of archaeological wood. A comparison with chemical extraction followed by combustion at 600 °C similarly concluded that there were difficulties in interpreting the cellulose and lignin content [89]. However, the ash content could be determined with much greater precision than using traditional methods.

Use of specialist analytical instrumentation
The relative amounts of celluloses and lignin can also be established using spectroscopy (FTIR and Raman), gas chromatography, or NMR. However, as these techniques are often used to simultaneously evaluate changes on the molecular level, each has been described in more detail later, in "Assessment of changes on the molecular level". In each of these techniques, the intensity of signals which relate specifically to either cellulose or lignin can be used to derive a L:C ratio. Total ash and water content can rarely be confidently determined by these techniques.

Introduction
Łucejko et al. [90] review the application of 'state-ofthe-art instrumental analytical tools' (e.g. spectroscopy, mass spectrometry, and chromatography) to determine changes in decayed archaeological wood on a molecular level. They highlight the main benefits of such analysis being the (often) small sample sizes and minimal sample preparation required. Using techniques that assess the molecular structure of wood components can reveal detailed information on degradation pathways and highlight more subtle changes to the chemical structure of decayed wood.
However, it must be noted that the availability of both the instrumentation and the expertise required to interpret the data from these techniques are often a barrier to their routine use for the assessment of preservation in waterlogged archaeological wood. There are also financial concerns which are not always adequately justified by the additional information provided. Molecular analysis of chemical modifications does not necessarily translate into a 'degree of degradation': further interpretation is required. The lack of familiarity and widespread use of these techniques in the heritage science community can also complicate the interpretation of data and limit the ability to compare between studies.
The range of techniques used to observe changes on the molecular level in archaeological wood is vast. Here, some of the more common and increasingly used Fig. 6 Plots of mass loss against temperature for modern (left) and degraded archaeological wood from Glastonbury Lake Village (centre) and Flag Fen (right), obtained by TG analysis. The slope indicated by 'A' indicates loss of water, and the slope at 'B' relates to cellulose loss. The slow mass loss after 400 °C is caused by lignin loss, and any remaining mass is inorganic, or 'ash' components. (Author's own data)  Table 6 approaches are discussed. These approaches are not exhaustive but are being increasingly reported as suitable for the assessment of preservation in waterlogged archaeological wood.

Fourier transform-infrared spectroscopy
In Fourier transform infrared spectroscopy (FTIR), the absorption of infrared light by a material is used to infer information about the presence or absence of certain chemical bonds and functional groups, indicated by the presence of peaks at certain wavenumbers. FTIR is semi-quantitative, as relative concentrations of chemical functional groups are reflected by the relative intensities of the associated peaks. Traditionally, IR light needed to be transmitted through a sample, requiring preparation in a potassium bromide (KBr) matrix prior to analysis, demanding large quantities of sample. However, the development of FTIR spectrometers fitted with an attenuated total reflectance (ATR) unit means that it is now possible to directly analyse a sample with no prior preparation, reducing both the time and quantity of sample required (analysis can be performed in a matter of minutes using < 10 mg of air-dried wood). As such, the technique has been increasingly adopted for use in the conservation and archaeological science laboratory [22,66].
Whilst the analysis of wood by ATR-FTIR is straightforward in a practical sense, the complexity of the material means that interpretation of the data can vary greatly. In addition, only a very small part of the sample is being measured: a factor common to most instrumental methods, and one that should always be considered in a sampling strategy. In FTIR this is exacerbated by the very small depth of penetration (0.5-3 µm) meaning that only the surface of a sample is really being analysed. However, the low cost and high speed of analysis means that these issues can easily be resolved by analysing samples from multiple locations across (or through) an object. ATR-FTIR can theoretically be applied in a non-destructive manner if sufficient contact can be made between the sample and the small optical window on the instrument. Depending on the size of the object, this is sometimes possible without cutting. However, in reality the application of pressure to ensure sufficient contact is made may result in small indentations. As signals from water might obscure signals from polymeric materials, samples are also usually analysed dry; for waterlogged wood this is an irreversible process. Conserved material can also be analysed provided the influence of any conservation agents are accounted for in data interpretation.

Peak assignment
Whilst most FTIR absorbance peaks contain contributions from multiple molecules, some can be attributed to solely lignin, cellulose, or hemi-celluloses and can 1738 C=O (acetyl) xylans Hemicellulose [91,92] therefore be examined to provide information on the relative abundance of each component [91][92][93]. Changes in the relative composition compared to fresh wood indicate the degree of decay and comparing different peaks within the same spectrum makes this semi-quantitative. Although peak assignments can vary between studies, a review of literature sources shows that some can be confidently attributed to certain polymers (Table 5). However, the position of some peaks can shift wavenumber depending on wood species, with hardwood and softwoods having quite different spectra [92]. The presence of inorganic salts such as gypsum and pyrite may lead to additional absorption peaks, further complicating spectra [94]. Pizzo et al. [95] demonstrate that signals attributed to non-structural compounds (such as lipids and pectins) may overlap with those attributed to structural components, greatly influencing the apparent intensity of peaks related to cell wall material. In practice, assigning peaks in archaeological wood can be challenging, as the spectrum of an archaeological sample can look very different to a modern standard (Fig. 7).

Loss of cellulose
L:C ratios (derived from the intensity of the relevant FTIR peaks) have been shown to correlate well with those calculated by chemical extraction [93]. Ratios can be calculated from either the peak heights or areas, of two or more of the assigned peaks. The peaks used can vary between studies, although most use the characteristic aromatic ring peak at 1505 cm −1 as an indication of lignin content, from which relative cellulose content can be calculated using the peaks at 1375 and/or 898 cm −1 [92,96].
The peak at 1738 cm −1 is attributed to the C=O (acetyl) groups in xylan (a type of hemi-cellulose) and is often observed to have decreased in intensity or been lost completely even before significant cellulose loss has occurred [97,98]. This is because the acetyl groups are readily hydrolysed to acetic acid, and it does not necessarily represent degradation of the polymers [98,99]. The C-O-C related band at 1024 cm −1 can significantly alter with increasing degradation (Fig. 7). This is attributed to cellulose hydrolysis leading to increased concentrations of carbonyl groups [100].
From a practical perspective, L:C ratios are much easier to calculate using FTIR than from, for example, gravimetric analysis. However, in cases where detailed chemical information on the molecular structure of any residual cellulose is required, a more comprehensive analysis, for example using py-GC or NMR (see later sections) is necessary [101].

Lignin deterioration
There is increasing awareness that lignin deterioration can occur alongside cellulose deterioration, challenging the assumption that L:C ratios alone are a good indicator of preservation [101,102]. Other situations where L:C ratios may be insufficient include cases where cellulose has already been completely degraded, or where very subtle differences need to be evaluated.
Several broad indicators of lignin decay have been identified in FTIR spectra. During bacterial degradation, methoxyl groups are removed which can be observed by an increased intensity of the lignin skeleton peaks (1505/1596 cm −1 ) compared to the lignin functional group stretches (1230/1268 cm −1 ) [93,101]. In undegraded wood the peaks at 1230 and 1268 cm −1 appear as one broad peak, but increasing degradation of lignin results in the separation of these two peaks ( [91]; Fig. 7). Durmaz et al. [100] also report a shift of the peak at 1268 cm −1 to 1264 cm −1 with increasing degradation, as well as an increase in intensity of the C-H peaks in lignin at 1425 and 1462 cm −1 .

Data collection and interpretation
In some studies, FTIR spectra are smoothed, normalised or baseline corrected prior to evaluation [92,95] whereas in others spectral manipulation is kept to an absolute minimum [103,104]. The exact method of calculating peak areas can also vary in terms of where the baseline is drawn [91,92]. These differences may limit the ability to compare data between studies, but full publication of the raw datasets can circumvent this.
Whilst FTIR analysis most commonly combines analysis of peak ratios with visual identification of changes in the spectra, researchers are increasingly employing chemometric methods to model changes in the entire spectrum [95,105]. As most of the peaks in an FTIR spectrum of wood contain contributions from more than one polymer, taking this statistical approach to quantify overall changes can better discriminate between wood with varying degrees of deterioration [105]. Whilst statistical analyses require additional expertise as well as availability of suitable software, if applied correctly these methods can very easily help identify outliers, as well as characterise differences in chemical composition between samples [105].

FTIR microscopy/FTIR imaging
Chemical imaging, or chemical mapping, involves conducting multiple analysis of an object to build up a visual image of the distribution of different components. This provides a spatial dimension to the analysis which can be valuable, as previously discussed for SEM-BSE/EDX. FTIR microscopy offers the ability to record multiple spectra across the surface of a sample as it is viewed under a microscope [96]. It also allows the analysis of much smaller samples or very specific regions of a sample. Imaging techniques such as FTIR microscopy are ideal for the analysis of conserved wooden objects, as they enable an assessment of the distribution of consolidants, or an examination of damage to wood structure caused by consolidation [30]. However, FTIR microscopes are far less widely available than ordinary FTIR spectrometers due to the greater cost. In addition, they analyse only a very small part of a sample, which may not be representative.

Pyrolysis gas chromatography
Pyrolysis coupled with gas chromatography (py-GC) is a technique where a sample is exposed to high temperature (> 500 °C) in the absence of oxygen, breaking the constituent polymers into small fragments via thermal cleavage. These sub-units are then separated using GC, generating a chromatogram characteristic of the concentrations of various fragments of each polymer present ( [106,107]; Fig. 8). Fragments are identified using either flame ionisation detection (FID) or mass spectrometry (MS).
Py-GC provides a semi-quantitative analysis of wood degradation products as well as intact polymers, thus yielding a greater depth of information about wood decay than techniques which focus on changes in the relative abundance of different polymers [108]. Compared to FTIR, py-GC provides a more sensitive analysis; more subtle changes to the polymeric structure can therefore be detected. This depth of information is valuable in particular scenarios, for example when detecting very small changes in molecular composition, or in trying to determine the exact source of degradation [102]. Conserved samples can also be analysed by py-GC, although the effects of the particular conservation agents will need to be considered when interpreting the data [11,109].
Major factors limiting the routine use of py-GC analysis in the cultural heritage field include: analysis requires substantial expert input, limited availability of the required instrumentation, and the greater expense compared to many other routinely used techniques. It also requires longer analysis times than spectroscopic techniques (typically between 40 min and 2 h per sample compared to only minutes for FTIR analysis; [11,90] and interpretation of data arguably requires greater depth of background knowledge. Despite these drawbacks, py-GC is becoming increasingly used for the examination of archaeological wood, either on its own or as part of a multi-analytical study [78,109,110].

Sample preparation
Dry wood samples can be analysed by py-GC with minimal preparation. However, milling or grinding the sample to a powder is often necessary to facilitate weighing into the small sample holders used for pyrolysis [11]. Some studies remove non-wood related components via solvent extraction prior to analysis, which results in less complex chromatograms [107]. Another advantage of including this step is that non-wood components can be retained and analysed separately, although in many cases the usefulness of this additional information would be limited [111]. A faster method of removing non-polymeric components prior to analysis is to include a thermal desorption step by heating the sample to approx. 300 °C [11]. However, highly degraded structural components can also be removed during this process.
Derivatisation is the process of transforming the analytes of interest into more reactive or more easily detectable compounds prior to analysis and is commonly used in chromatography. For py-GC, derivatising agents can be added to the wood sample in the analysis crucible and as such, total preparation/analysis time is not significantly extended. Commonly used derivatisation agents used in the analysis of archaeological wood include tetramethylammonium hydroxide (TMAH) which results in methylation of polymer sub-units, and hexamethyldisilizane (HMDS) which adds a silyl group [112,113]. In both cases, polar molecules (such as acids, ethers and esters) are made more volatile and an improved response is seen in GC [90]. As such, the range of molecules detected is greater, providing a greater degree of structural information and better reproducibility [78,114]. However, because methylation makes phenolic groups indistinguishable from methoxyl groups, sylation is increasingly used in preference, allowing distinction between syringyl and guaiacyl lignin [90,114]. The data obtained from derivatised material arguably requires a more in-depth knowledge of wood chemistry to accurately interpret the resulting data. In addition, derivatisation is sometimes only partially complete, resulting in even more complex chromatograms [114].

Data analysis
Following separation by GC, thermal degradation products can either be detected by flame ionisation detection (py-GC-FID) or mass spectrometry (py-GC-MS). Each peak in the spectrum can then be assigned to a degradation product or sub-unit of either lignin or cellulose ( [107,109] ; Fig. 8). Theoretically, the relative intensity of each peak reflects the abundance of that compound, and changes in the relative intensity of certain compounds can provide information on degradation mechanisms occurring within the sample. This analysis is more accurate using FID data than MS, as the intensity of peaks in MS chromatograms is related to the ability of the compound to be ionised as well as its concentration. This can be corrected for using a 'response factor' if known for that compound, but this is difficult to do when multiple compounds are present.
Cellulose loss Łucejko et al. [78] used GC data to calculate L:C ratios (summing the peak areas of celluloserelated products and lignin-related products) and demonstrated an excellent correlation with cellulose content as determined by gravimetric analysis. This method has been adopted by other studies and proves a useful parameter for comparing samples [10,115]. Residual compounds from cellulose can be detected in even severely degraded archaeological samples, whereas other techniques may show that cellulose is completely depleted [109].
Despite this, L:C ratios calculated by py-GC analysis may have little extra to offer when compared to the much faster analysis by FTIR. Rather, the strength of py-GC is the ability to examine structural changes to the lignin.
Lignin decay As cellulose may be present in only a highly degraded state (or completely absent), lignin characterisation can be of utmost importance in some waterlogged archaeological wood [111]. More recent research also demonstrates that lignin decay occurs even when cellulose preservation is good, challenging long-held assumptions about the order of decay [115].
Py-GC analysis allows the identification of several key molecular changes that are indicative of decay in lignin. These changes include demethoxylation (removal of the methoxy groups) of syringyl and guaiacyl sub-units, leading to conversion of syringyl to guaiacyl, and subsequent further conversion to 1,2-benzenediol followed by phenol ( [107]; Fig. 9). Decay is therefore characterised by changes in the relative abundance of these compounds, or derivatives of these compounds (Fig. 9). Preferential syringyl decay (over guaiacyl decay) has been noted by several py-GC studies [78,115]. This has led to the use of a syringyl: guaiacyl ratio derived from the sum of the peak areas related to each compound, which decreases with increasing wood degradation [108]. An increased concentration of phenol also indicates that parts of the lignin have been defunctionalised [21]. Braovac et al. [10] cite the presence of oxidised products as confirmation of oxidation reaction mechanisms occurring within the lignin structure. Oxidation of lignin is also identified by an increase in the acid: aldehyde ratio, again calculated by summing the relevant peak areas [78,106].
An increasingly common assessment of py-GC data is to group decay products into types of monomer (for example: short chain, long chain compounds, acids, aldehydes etc.), and comparing the relative abundance of each. This reveals a characteristic pattern for different samples, providing a comparison of chemical differences in residual lignin as well as relative cellulose decay [115].
Statistical analysis As for FTIR data, principal component analysis (PCA) can be used to better investigate differences between degraded and sound wood [108,110]. Components are identified from the chromatograms and the amount of variation of peak areas plotted in two dimensions. Vinciguerra et al. [108] used PCA to show significant differences in the chromatograms from fresh wood and rotted wood, highlighting several different chromatographic peaks (components) which can be used as indicators of decay.

NMR spectroscopy
NMR spectroscopy reveals information about the chemical environments of certain target nuclei (most commonly 1 H, 13 C and 31 P). It can provide information both on the structural and spatial arrangement of organic molecules, making it ideal for the analysis of complex polymers such as those present in wood [116]. Whilst proton ( 1 H) NMR requires samples to be in solution and as such is not commonly used for the analysis of wood, 13 C NMR has been demonstrated as a valuable technique for the examination of both celluloses and lignin in solidstate archaeological samples [3,115,117]. As the field advances, studies applying 31 P NMR and 2-dimensional NMR continue to demonstrate the power of NMR analysis to reveal even very slight changes in polymeric structure as wood deteriorates [114,115].
As for FTIR and py-GC analysis, alteration of the relative peak areas and chemical shifts in NMR spectra indicate alteration of the chemical environments (see Table 6 for a summary). However, NMR analysis also reveals information on how the various sub-units relate to each other spatially, and the abundance of key linkages. This makes it ideal for examining the degree of polymerisation [116]. NMR analysis also penetrates a sample, in contrast to techniques such as FTIR which examine only the sub-surface [118]. Another benefit of NMR, particularly when carried out in the solid state, is the lack of sample preparation required, meaning it is more likely to reflect the true nature of the sample compared to methods such as py-GC where the preparative or analytical process may cause significant chemical alteration.
The limitations of NMR techniques lie primarily in the lack of availability of appropriate instruments, their expense both initially and in terms of maintenance, and the high-level of expertise required to run them [17]. The complex nature of wood also results in complex spectra where assignment of the peaks is not straightforward, and any errors can lead to substantial over or under-estimation of L:C ratios [117]. NMR requires approximately 25-50 mg of sample (compared to ~ 0.1 mg required for py-GC) [115]. The technique is usually destructive due to the need to cut the sample to fit into the analysis chamber (a sample of approx. 75 mm x 30 mm x 25 mm is typically required) [54]. The influence of contaminants on NMR spectra also needs to be considered during interpretation: for example, iron is known to cause peak broadening, and non-structural organic inclusions will also cause interference [116].

C NMR
The most commonly used type of NMR spectroscopy for the analysis of lignin-cellulosic material, including archaeological wood, is 13 C NMR [83,117]. Signal enhancement by cross-polarised magic angle spinning (CPMAS) means that samples can be analysed in the solid state. With these signal enhancement techniques, in principle very little starting material is required (4-7 mg) [117]. However, more material and longer acquisition times are needed to get high enough resolution for quantification. Analysis times range from 10 min to several hours, with longer times generating higher resolution data [17].
Although 13 C-CPMAS is generally carried out on untreated samples, Zoia et al. [119] demonstrate that first removing non-structural components by solvent extraction results in simplified spectra that are representative of only the structural polymers. Several studies also first chemically separate the lignin from the cellulose, resulting in a higher resolution assessment of the lignin alone [114]. Acetylation (derivatisation) of the material before analysis can also improve resolution; however this is a complex process that involves first dissolving the wood in an ionic liquid and treating with acetic acid and pyridine [70]. Solubilisation can also allow 1 H NMR analysis (for example for 2D experiments; see later) but is highly likely to result in alteration of the chemical structure [116].
Assignment of the most abundant peaks and a review of 13 C NMR applied to archaeological wood can be found in Bardet et al. [116]. Comparative heights of certain peaks can be used to derive an L:C ratio, as for FTIR and py-GC ( Figure 10). However, the strength of NMR is that it can also be used to examine bonds between sub-units. A typical characteristic of decayed wood is a decrease in abundance of β-O-4 linkages (highlighted in Fig. 9) in relation to the methoxy groups [114]. Colombini et al. [111] attempted to use NMR to calculate the number of methoxy groups per phenol ring; although an overlap in the signals makes this difficult, the value appears to decrease with increasing degradation. Such structural Fig. 7 Stacked FTIR spectra for modern untreated willow compared to heavily degraded wood from Star Carr and moderately degraded wood from Must Farm (author's own data). Commonly used diagnostic peaks relating to cellulose and lignin are highlighted. Degradation can be indicated by relative changes in intensity of these peaks; peak shapes can also change (areas of interest highlighted by dotted boxes) Fig. 8 Partial py-GC-FID chromatograms from modern pine (top) and archaeological wood from a heavily decayed coffin (bottom). Points of interest include: a decrease in the relative intensity of cellulose related peaks at the start of the chromatogram and a decrease in the relative intensity of levoglucosan (a cellulose pyrolysis product) in the degraded sample indicating loss of cellulose; an increased intensity of short chain degradation products (e.g. phenol, 2-methyl phenol and 3-methyl phenol) and an increased intensity of oxidised compounds (*) later in the chromatograms in the degraded sample, signifying lignin modification (Image copyright Adam Pinder)  can scan an entire surface, e.g. a core taken from a wooden object Non-destructive or small sample sizes; easy data interpretation; wide availability May not detect low concentration contaminants Quantitative analysis of a wide range of elements, allowing assessment of inorganic content Dry, waterlogged or conserved sample; nondestructive High and Penkman Herit Sci (2020) 8:83 * Denotes that although conserved samples can be analysed, the conservation history of the object must be known to allow correction of the data changes are less clearly observed in FTIR and may be destroyed by the pyrolysis process in py-GC. Despite the benefits, Colombini et al. [114] highlight that 13 C NMR is not sensitive enough to identify all indicative characteristics of lignin decay; in particular, it cannot reveal carboxylic acid and alcohol groups, both of which increase in abundance with oxidative decay. The heterogeneity of wood can also cause significant peak broadening, making it difficult to assign peaks ( [118]; Fig. 10). As with many other techniques, comparison between modern and archaeological woods by NMR spectroscopy is much improved when the species is known, enabling a comparison with modern analogues [116].

P NMR
By first isolating the lignin, solubilising it and derivatising with a phosphating agent, 31 P NMR can be used as a complementary analysis to 13 C NMR, allowing the identification of a greater range of functional groups [70,114]. From 31 P NMR spectra, guaiacyl, syringyl, p-hydroxyphenyl, and aliphatic OH groups can be assigned and the relative intensities of each compared [114,115].
The disadvantage of 31 P NMR analysis is the intensive sample preparation required. It is possible that the relatively harsh solubilisation steps result in significant alteration of the chemical structure [116]. Analysis has largely been carried out only on isolated lignin, meaning that the carbohydrate fraction is not evaluated. However, Zoia et al. [115] recently demonstrated the use of ionic liquids to solubilise the complete sample, both reducing the opportunity for preparative structural modification and allowing the analysis of all components.

2D NMR
Once in solution, it is possible to conduct both 13 C and 1 H NMR analysis of wood (or isolated lignin) in tandem, providing the benefits in sensitivity of 1 H NMR combined with the resolution of 13 C NMR [120]. These '2-dimensional' experiments allow the identification and quantification of additional structural features (such as the different inter-monomeric bonds present), providing a greater degree of structural detail than traditional NMR [114]. 2D NMR experiments produce a 'map' where the NMR signals are dispersed along two axes relating to the two different nuclei ( 1 H and 13 C) [120].

Portable NMR
'Stray field' or 'unilateral' NMR instruments use a permanent magnet open on one side rather than a large supercooled electromagnet as is typical in traditional NMR instruments. This means that they can be brought into direct contact with a stationary object, penetrating up to 25 mm into a sample [121]. As stray field NMR is mostly sensitive to 1 H, analysis detects free and bound water molecules rather than parts of the polymeric material. Although this information can then be related to chemical structure, data interpretation is not straightforward. Continued advances in shaping the magnetic fields and refining the design of these instruments so that different depths can be probed has resulted in their application to the analysis of a range of cultural heritage objects, including paper and wood [121]. As the field advances, opportunities for a greater range of applications are likely to emerge.

X-ray analysis
X-ray techniques penetrate the depth of an object and reveal information about the long-range internal structure [60]. The application of X-ray imaging to determine physical state of preservation has already been outlined. However, X-ray analysis can also provide an assessment of the chemical structure of a sample.

X-ray fluorescence
X-ray fluorescence (XRF) is increasingly used in heritage applications, largely due to its ease of application, wide availability of instruments, and wide range of applications. It is an ideal technique for use in situ, as instruments are largely portable and data outputs are immediate [57]. XRF measurements are made across the surface of a sample, recording the concentration of a wide range of elements. In wooden artefacts, the depth of penetration of contaminants can be determined if a core is extracted and analysed along its depth ( [122]; Fig. 11).

X-ray diffraction
X-ray diffraction (XRD) uses X-rays to probe the longrange arrangement and geometry of crystals within a material. As cellulose is crystalline, wood decay can be observed by an initial increase in overall crystallinity (as non-crystalline hemi-celluloses are lost) followed by  [131] with permission from Springer, copyright 2009) a significant decrease with loss of cellulose [123]. This is identified in an XRD pattern by comparing the sharp peak caused by the crystalline fraction with the broader peaks related to amorphous wood components (Fig. 12). From this, a crystallinity index is calculated [124,125]. The use of XRD to examine cellulose loss in archaeological wood has been demonstrated by Giachi et al. [82] and Li et al. [126], although it often comprises only one part of a multi-analytical assessment. This is because it gives an average assessment of decay so the exact location of deterioration cannot be determined; however, microscopy can be used to elucidate the nature of the decay once it has been quantified by XRD [82]. Conversely, as analysis focuses on a much larger area than many other analytical techniques, XRD can result in a more reliable assessment of the overall preservation state.
XRD analysis can underestimate the amount of cellulose present if it exists in a non-crystalline state, having been degraded to some extent [126]. In addition, although an untreated sample can theoretically be analysed, it may need to be cut to fit into the instrument and sensitivity is much higher when a powdered or milled sample is analysed; however, results can also be influenced by the method of milling [127]. XRD instruments are commonly available in chemical research laboratories but are expensive in terms of initial cost and ongoing maintenance.
Powder XRD is also used to identify crystalline contaminants in archaeological wood [26,28]. This is particularly useful in marine woods where high concentrations of pyrite, gypsum and other sulfur-based minerals may be present [28,128]. XRD can be performed on the residual ash left after burning at 600 °C to better assess the inorganic content, although a reasonably large sample may be required for this, depending on the percentage ash content [82]. Conserved objects can be analysed using XRD; analysis of artefacts treated with alum from the Oseberg shipwreck has helped determine the behaviour of alum salts within the objects under different relative humidity and temperatures, aiding conservation efforts [13].
The major benefit of applying XRD to determine inorganic components is that it is able to distinguish crystal structures, in contrast to SEM-EDX, XRF or ICP-AES (all described elsewhere in the review), where only an elemental composition is obtained. This may provide valuable information for informing strategies to remove such compounds prior to conservation, or for predicting how they might behave with changing environmental conditions [81,128].

X-ray absorption spectroscopy
X-ray absorption spectroscopy involves measuring the energy of absorbed X-rays to discern the local environment of certain elements, specifically their charge state (Fig. 13). X-ray absorption techniques consist of X-ray absorption near edge spectroscopy (XANES) which cover the lower energy range, and extended X-ray absorption fine structure (EXAFS) which measures higher photon energies. Both are carried out using a synchrotron source. XANES has been used in several studies to examine the inorganic content of waterlogged wood [122,128]. X-ray absorption studies are often carried out alongside other techniques, such as microscopy, allowing an indepth understanding of the arrangement of inorganic inclusions within the wood structure [25].
X-ray absorption techniques are highly quantitative and specific and as such have been critical in fully understanding 'the sulfur problem' leading to acidification in shipwrecks including the Vasa [25] and the Mary Rose [26]. A combination of techniques in both cases has allowed researchers to unravel the complex iron and sulfur reactions leading to the acidification of ship timbers, identify the active deterioration mechanisms, and adapt conservation strategies accordingly. Although the value of this information is critical in isolated cases, the expense, lack of widespread availability, and complexity of the data mean that this this technique is most suitable in isolated cases where inorganic contaminants present a particular conservation challenge.

Raman spectroscopy
Raman spectroscopy uses light from a laser to produce a characteristic spectrum based on the light that is scattered by certain chemical bonds within a sample. For wood, a 633 nm laser has been demonstrated to reveal characteristic scattering patterns for both cellulose and lignin [129]. The benefits of Raman analysis are that no sample preparation is required, it can be used nondestructively provided the instrument and sample size allow, and analysis times are in the region of minutes (similar to FTIR). Raman has been less widely applied to the analysis of archaeological wood than FTIR; compared to in FTIR spectra, Raman peaks are often weak making it difficult to compare between samples ( [129,130]; Fig. 14). However, analysis can provide complementary information to FTIR as it interacts with different molecular bonds, it is less affected by the presence of water, and less peak overlap makes assignment of the spectra more straightforward ( [132] ; Fig. 14).
Several Raman scattering peaks can be assigned to either cellulose or lignin; a comprehensive list can be found in [129]. Key indicative peaks are those between 1100-1150 cm −1 (characteristic of cellulose) and those at 1600 and 1650 cm −1 (attributed to lignin) [130]. A reduction in intensity of the cellulose related peaks relative to the lignin related peaks signifies decay ( Fig. 14; [131]). Alteration of the lignin can also be observed by a reduction in the height of the peak at 1650 cm −1 (C=C) relative to that at 1600 cm −1 (phenol ring) [130]. The peak at 93 cm −1 has been shown to correlate to the crystallinity of the cellulose, as independently determined by XRD methods [133]. Raman spectroscopy is also suitable for the detection of inorganic components such as iron corrosion products in archaeological wood [134]. Christensen et al. [130] used Raman and FTIR spectroscopy to study waterlogged archaeological wood undergoing conservation treatment, demonstrating that using the techniques together allowed the analysis of deterioration of the wood along with analysis of the consolidating agents (cellosolve/petroleum and PEG impregnation).
Advanced methods of Raman spectroscopy include: Raman microscopy/imaging to assess spatial distribution of compound [132]; surface enhanced Raman spectroscopy, where a surface is first coated in order to enhance the signal; and the use of statistical analysis such as PCA to assess differences between samples [135]. As yet, these methods are not well-established for the analysis of waterlogged archaeological wood, but in future may enhance the data that can be obtained, both with regards to the deterioration of wood and assessing the effectiveness of conservation treatments [136].

ICP-AES
Inductively coupled plasma analysis with atomic emission spectroscopy (ICP-AES; sometimes termed optical emission spectroscopy, OES) is a method of elemental analysis. It provides a sensitive and highly quantitative assessment of a range of inorganic elements and has been used for the identification of metal contaminants in wooden artefacts [10,30]. ICP-AES was used alongside py-GC analysis in the study of alum-treated artefacts from the Osberg shipwreck, allowing researchers to associate regions of lignin decay with the presence of aluminium and potassium from the treatment [10]. Zoia et al. [119] demonstrate how the sensitivity of the technique can be further improved by first extracting the inorganic components by combustion at 600 °C (ashing).
Whilst ICP-AES is a stand-alone technique, methods such as SEM-EDX can provide a greater detail of information regarding the sample in general, and XRF is cheaper, more widely available, and non-destructive (whereas ICP-AES requires samples in the mg range). However, ICP-AES provides a sensitive and quantitative assessment, which may be critical in tackling certain challenges, for example when investigating the Fig. 15 Schematic summarising some of the key factors that may need to be considered in determining the level of preservation assessment that is necessary behaviours of inorganic contaminants under changing conditions [30].

Evolved gas analysis (EGA)
EGA involves detecting the gas evolved when a sample is heated, for example in a TG instrument, providing additional structural information [137]. Methods of detection include by FTIR (EGA-FTIR) or mass spectrometry (EGA-MS; [112]). EGA-MS is ideal for analysing archaeological wood that has been conserved, as products from the consolidating agents (such as PEG or disodium sebacate) can be identified [112]. The key advantage of the method is that polymeric material from the wood itself can be analysed at the same time, providing in-depth structural information particularly when combined with MS [138]. The advantage of gathering such sensitive data, particularly regarding lignin alteration, is that small alterations can be detected, for example over a short timescale. However, data can be complex with many signals overlapping, particularly in well-preserved wood. The high cost of initial instrumentation and ongoing maintenance, alongside the lack of wide-spread familiarity means that EGA is not yet commonly used for the analysis of archaeological wood. However, although the technique has only fairly recently been first used specifically for this purpose [138], there is an increasing uptake in the use of EGA for the analysis of organic materials more generally in the field of heritage science [139].

Discussion: designing a scheme of assessment
A scheme of assessment will inevitably be heavily influenced by external factors such as the time and finances available, or the availability of both instrumentation and expertise. Several points for consideration are discussed here, having emerged from this review as key considerations. However, this discussion is by no means exhaustive. Ultimately, an analytical strategy needs to be considered on a site by site (and sometimes artefact by artefact) basis, considering a wide range of factors.

A multi-analytical approach
Many studies highlight that no single technique is best for determining the level of deterioration in waterlogged wood, advocating a multi-analytical approach [70,83,101,111]. Macchioni et al. [45] demonstrate that using only one technique may lead to misinterpretation of the degree of preservation. As an example, Tamburini et al. [66] highlight that some techniques do not account for the presence of degraded polymers that have remained in situ. Other studies attempt to compare two or more techniques: studies comparing the level of deterioration determined by MWC and NMR [117], gravimetric analysis compared to py-GC [78], and gravimetric analysis compared to FTIR [93] have all shown discrepancies between the techniques, without demonstrating which of the methods is 'wrong' . A scheme of assessment will therefore ideally incorporate a wide range of analyses, providing the best possible baseline from which to measure future change.

Aims of assessment
Identifying the aim of the assessment helps to determine which questions need to be answered, and in what level of detail (Fig. 15). In many cases, a basic visual assessment is enough for assessing the archaeological significance of an object (related to the value of information that may be retrieved).
If the aim is to advise a method of conservation, cheap and accessible methods such as light (optical) microscopy and loss of wood substance indices are likely to provide the additional information required [20,77]. In cases where a high concentration of inorganic salts may affect the behaviour of a wooden object post excavation, during conservation or in situ, inorganic components should also be assessed. In cases where an object is considered of high archaeological significance or conservation is likely to be complex, a more advanced assessment of the molecular composition might be considered.
Some situations may demand that preservation assessment is quantitative and provides a great amount of detail, for example when deterioration needs to be monitored [6,140,141]. This might include when a site is to be preserved in situ under active management, when the effect of changes in the burial conditions needs to be assessed, or when investigating the deterioration of an artefact in storage or on display. In these cases, assessment of changes on the molecular level using analytical instrumentation should be considered.
If the aim is to compare the material with material from past analysis, it is important to carry out the same analysis as far as possible, as different methods are not necessarily comparable. If possible, reanalysis of the original artefact may also be useful.

Sampling considerations
The availability of material for destructive analysis is an important consideration in selecting an assessment method. This could be limited by factors such as the significance or size of an object and may demand that non-destructive (e.g. X-ray analysis or spectroscopy), or minimally destructive techniques (e.g. py-GC) are used. This also allows the analysis of a greater quantity of samples. This may be from one object, or from different locations across a site and would better account for differences in preservation.
Due to the highly heterogenous nature of waterlogged archaeological wood, one analysis is unlikely to be representative of the entire object, regardless of the method used. This concern is exacerbated in techniques where only very small areas are analysed. An appropriate sampling strategy therefore needs to be considered. This may involve taking cores through a sample, dividing this up into zones and performing multiple analysis [142,143]. If availability of sample is limited, it may be possible to analyse samples taken for other purposes, for example species identification or dendrochronology.

Constraints on analysis
The methods used for preservation assessment are highly likely to be limited mainly by external factors, such as the time and finances available. However, this does not necessarily mean that instrumental analysis needs to be ruled out; for example, FTIR analysis is much quicker than gravimetric analysis and provides a more sensitive assessment. Another limiting factor may be the availability of both instrumentation and expertise, which is more of a concern for some instrumental methods than others. However, such concerns may be overcome through collaborative partnerships.
The current state of the wood may dictate which techniques are possible to use, for example if a sample has already dried out some techniques may be difficult or yield little valuable information (e.g. light microscopy, MWC, X-ray imaging). For other techniques samples should be dried, which for waterlogged archaeological wood is an irreversible and therefore destructive process (e.g. FTIR, NMR). If an object has already undergone conservation treatment, that could also rule out techniques such as light microscopy, MWC, or gravimetric analysis. For some instrumental techniques the effects of consolidating agents can be accounted for in the analysis, although the data interpretation may be more complex, and the conservation history of the object must be known.
Different wood species may begin with different chemical compositions; in particular the differences between soft and hardwoods can be significant [16]. Therefore, most analytical approaches are more accurate and more easily interpreted if the wood species is known, allowing comparison to a modern example and gives a clearer picture of what changes have occurred. If the species cannot be identified therefore, the use of expensive techniques which detect very subtle changes in molecular composition may be of limited value.

Conclusions
The value of undertaking a robust and thorough assessment of preservation in waterlogged archaeological wood should not be underestimated: this is critical in guiding successful site management and supporting decision-making post excavation (e.g. with regards to storage or conservation). An understanding of the various assessment techniques available, their advantages and disadvantages, and the practical limitations, is important for designing an appropriate scheme of evaluation. Here, we have provided a critical overview of some commonly used approaches, ranging from a visual assessment conducted in the field, to advanced molecular characterisation using analytical instrumentation.
Different types of analysis will be applicable in different scenarios; however, conducting the best possible assessment (taking into account other limitations such as cost, time and availability of expertise) will provide the best baseline against which future changes can be monitored. We conclude that no single technique can be considered the best option, and an assessment should take a multi-analytical approach. As emerging techniques and technologies are increasingly adopted by the heritage science sector, understanding how these can be applied in practice will result in an increasingly evidence-based approach to the protection of waterlogged archaeological wood.