Kamis, 30 Januari 2014

** Download PDF A Skeptic's Guide to Writers' Houses, by Anne Trubek

Download PDF A Skeptic's Guide to Writers' Houses, by Anne Trubek

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A Skeptic's Guide to Writers' Houses, by Anne Trubek

A Skeptic's Guide to Writers' Houses, by Anne Trubek



A Skeptic's Guide to Writers' Houses, by Anne Trubek

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A Skeptic's Guide to Writers' Houses, by Anne Trubek

There are many ways to show our devotion to an author besides reading his or her works. Graves make for popular pilgrimage sites, but far more popular are writers' house museums. What is it we hope to accomplish by trekking to the home of a dead author? We may go in search of the point of inspiration, eager to stand on the very spot where our favorite literary characters first came to life—and find ourselves instead in the house where the author himself was conceived, or where she drew her last breath. Perhaps it is a place through which our writer passed only briefly, or maybe it really was a longtime home—now thoroughly remade as a decorator's show-house.

In A Skeptic's Guide to Writers' Houses Anne Trubek takes a vexed, often funny, and always thoughtful tour of a goodly number of house museums across the nation. In Key West she visits the shamelessly ersatz shrine to a hard-living Ernest Hemingway, while meditating on his lost Cuban farm and the sterile Idaho house in which he committed suicide. In Hannibal, Missouri, she walks the fuzzy line between fact and fiction, as she visits the home of the young Samuel Clemens—and the purported haunts of Tom Sawyer, Becky Thatcher, and Injun' Joe. She hits literary pay-dirt in Concord, Massachusetts, the nineteenth-century mecca that gave home to Hawthorne, Emerson, and Thoreau—and yet could not accommodate a surprisingly complex Louisa May Alcott. She takes us along the trail of residences that Edgar Allan Poe left behind in the wake of his many failures and to the burned-out shell of a California house with which Jack London staked his claim on posterity. In Dayton, Ohio, a charismatic guide brings Paul Laurence Dunbar to compelling life for those few visitors willing to listen; in Cleveland, Trubek finds a moving remembrance of Charles Chesnutt in a house that no longer stands.

Why is it that we visit writers' houses? Although admittedly skeptical about the stories these buildings tell us about their former inhabitants, Anne Trubek carries us along as she falls at least a little bit in love with each stop on her itinerary and finds in each some truth about literature, history, and contemporary America.

  • Sales Rank: #243021 in Books
  • Brand: Brand: University of Pennsylvania Press
  • Published on: 2010-10-04
  • Original language: English
  • Number of items: 1
  • Dimensions: 9.09" h x .76" w x 6.41" l, .97 pounds
  • Binding: Hardcover
  • 176 pages
Features
  • Used Book in Good Condition

From Publishers Weekly
The phenomenon of visiting writers' houses as a form of literary homage has existed for centuries, as literary enthusiasts have toured the homes of Shakespeare and countless other writers to connect, become inspired, or pay tribute. Trubek (Writing Material) offers an amusingly jaundiced eye towards this notion by visiting the homes of several writers, from of Louisa May Alcott to Hemingway to Poe, in an attempt to discover what draws people in and what connection they might be able to experience from this much remove. The end result is an interesting jaunt through American literature and the American preoccupation with fashioning (and profiting from) sacred spaces, coupled with genuinely fascinating little-known biographical information about iconic authors. Trubek is brutally honest (and occasionally funny) about what does and does not feel meaningful, and her travelogue is well-written and quick. While she does seem to harp on the same themes again and again, occasional moments of genuine emotion make it worth the trip. Trubek does a great job of following a succinct formula and readers in search of an objective look at writers' houses worth visiting will find this a useful guide. (Oct.)
(c) Copyright PWxyz, LLC. All rights reserved.

Review
"Ms. Trubek is a bewitching and witty travel partner. " --Wall Street Journal

"a slim, clever bit of literary criticism masquerading as smart travel writing"  --Chicago Tribune

"amusing and paradoxical" --Boston Globe

"a restlessly witty book" --Salon.com

"A blazingly intelligent romp, full of humor and hard-won wisdom...[Trubek] crisscrosses the country in search of epiphanies on the doorsteps of some of our more important writers." --Minneapolis Star Tribune

Named one of the seven best small-press books of the decade in a column in the Huffington Post



"A remarkable book: part travelogue, part rant, part memoir, part literary analysis and urban history, it is like nothing else I've ever read. In wondering why we look to writers' houses for inspiration when we could be looking to the writers' work, Trubek has—with humor, with self-deprecation, even with occasional anger and sadness—reminded us why we need literature in the first place."—Brock Clarke, author of An Arsonist's Guide to Writers' Homes in New England



"Why do people visit writer's homes? What are they looking for and what do they hope to take away that isn't sold in the gift shop? This memoir-travelogue takes you from Thoreau's Concord to Hemingway's Key West, exploring the tracks authors and their fans have laid down over the years. Trubek is a sharp-eyed observer, and you'll wish you could have been her travel companion."—Lev Raphael, Huffington Post



"An antic and intelligent antitravel guide, A Skeptic's Guide to Writer's Houses explores places that have served as pilgrimage sites, tokens of local pride and color, and zones that confound the canons of literary and historical interpretation. With a gimlet eye and indefatigable curiosity, Anne Trubek peers through the veil of domestic veneration that surrounds canonized authors and neglected masters alike. In the course of her skeptical odyssey, she discerns the curious ways in which we turn authors into household gods."—Matthew Battles, author of Library: An Unquiet History

About the Author
Anne Trubek's writing has appeared in numerous publications, including the The New York Times, Mother Jones, American Prospect, The Believer, and Salon.com. She is Associate Professor of Rhetoric and Composition and English at Oberlin College.

Most helpful customer reviews

4 of 5 people found the following review helpful.
Is the unexamined pilgrimage worth taking?
By C. Ebeling
If you've come to this book because you enjoy literary tourism--visiting writers' house museums or paying homage at gravesites--prepare to have your hat handed to you by Anne Trubek after she's poked her fingers through it. My advice: let her do it, because as much as she might spoil your fun at first with academic posturing, she adjusts her own attitude the more she travels to various house museums. Stick with the book and with Trubek, who writes lucidly with candor and a personableness that grows with the narrative, and you gain a new perspective on how house museums can or cannot satisfy the impulse to get closer to a writer.

The first point Trubek makes is that the attraction of literary pilgrimages is irrational. Think about it. Can you explain the benefit in concrete rather than emotional currency? We can't get any closer in person because the writer is typically deceased. Staring at the little desk or table where the writer worked does not explain how the world and characters that inspire your devotion were created there. And then, some houses have been corrupted by inauthentic or incomplete restorations, or, like Twain's childhood neighborhood, Hannibal, MO, have been Disneyfied to reconstruct the sentimental memories of the fiction, not the writer's reality. Some are contradictions of the writer's wishes. Trubek hits her stride with the Concord, MA tour of the homes of what Susan Cheever has called "American Bloomsbury." The fate of Louisa May Alcott's house and memory is a cautionary mess of misunderstanding fans and social politics. The chapters in which she visits the Poe houses, the ruins of Jack London's Beauty Ranch and the Paul Laurence Dunbar house in Dayton are also strong and help form a better idea of how and why such properties can matter.

3 of 4 people found the following review helpful.
A Pilgrimage to Dead Writer's Homes
By Jill I. Shtulman
I am, perhaps, an ideal reader for A Skeptic's Guide. I'm a passionate reader with an advanced degree in English Literature and have actually visited many of the homes the author focuses on in her book, including Jack London's, Ernest Hemingway's. and, of course, what she calls "The Concord Pilgrimage" - Edith Wharton's, Herman Melville's, and Louisa May Alcott's.

The question she poses is why did I - or for that matter, any reader - tour these house museums? Anne answers, "There is something curious and ultimately insatiable about visiting a dead writer's home. It has something to do with pilgrimage, the hushed aura of sacredness; it has something to do with history; one life preserved. It has something to do with loss, and objects as compensation for loss. And it has something to do with the way literature works, with the longing created by the fact that words separate writers from readers yet create an ineluctable intimacy between the two..."

Whew! She's got THAT right. And then she adds, "They (the homes) are teases; they ignite and continually frustrate our desire to fuse the material with the immaterial, the writer with the reader."

Some, of course, do it better than others. Mark Twain's Hannibal is one that does NOT get it right; "Hannibal is not a postcard of iconic American sweetness, not a Rockwell painting." The "snugness and smugness" of the town reveal nothing about Samuel Clemons, who had a delicious sense of irony. Nor is it possible to find Walt Whitman in Camden, an old, forgotten house in a depressing, urban blighted town.

Anne Trubek fares better in Concord: "over two hundred published writers call this small town home." And she totally connects with Paul Laurence Dunbar's house in Dayton, Ohio - "full of the longing that I am seeking in these small museums."

Overall, Anne finds some truth in each about literature, history, urban blight, and today's America...even if she doesn't always find connection with the author. There are times when I felt she verved from her stated mission, focusing more on the history of the writer instead of the writer's homes, or when she arrived with preconceived conclusions about the house. All in all, though, Anne brings an indefatigable curiosity, a sense of humor, and a researcher's skill to her undertaking.

0 of 0 people found the following review helpful.
Odd, but good.
By MizLoo
Thoughtful, introspective and individual, this is a quick read on an odd subject. Somewhat rambling (which I enjoyed) and definitely opinionated, the author (PhD in English Lit) takes one publicly open writer's house at time, summarizes each author's work/life, describes her own experience at each house and comments on the individuality of the houses as well as the former residents.

There is a lot of somewhat professorial subtext, about such nuances as the class, race, gender, situation and current standing of the writers, some commentary on whether the ambiance of the house suits the reality of the author's character. Here I found the Louisa May Alcott commentary about feminism engaging, and Jack London's commitment to subsistence farming astonishing.

Late chapters about Charles Chestnut, Langston Hughes and Paul Laurence Dunbar, were particularly enlightening - to this reader - not a lit prof, and not well-read in the African-American canon.

Overall - a good read. Smart, sometimes funny, a bit acerbic and nicely grounded in fact. BTW - The cover perfectly conveys the POV.

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Selasa, 28 Januari 2014

? Fee Download The Color Revolutions, by Lincoln A. Mitchell

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The Color Revolutions, by Lincoln A. Mitchell

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The Color Revolutions, by Lincoln A. Mitchell

From late 2003 through mid-2005, a series of peaceful street protests toppled corrupt and undemocratic regimes in Georgia, Ukraine, and Kyrgyzstan and ushered in the election of new presidents in all three nations. These movements—collectively known as the Color Revolutions—were greeted in the West as democratic breakthroughs that might thoroughly reshape the political terrain of the former Soviet Union.

But as Lincoln A. Mitchell explains in The Color Revolutions, it has since become clear that these protests were as much reflections of continuity as they were moments of radical change. Not only did these movements do little to spur democratic change in other post-Soviet states, but their impact on Georgia, Ukraine, and Kyrgyzstan themselves was quite different from what was initially expected. In fact, Mitchell suggests, the Color Revolutions are best understood as phases in each nation's long post-Communist transition: significant events, to be sure, but far short of true revolutions.

The Color Revolutions explores the causes and consequences of all three Color Revolutions—the Rose Revolution in Georgia, the Orange Revolution in Ukraine, and the Tulip Revolution in Kyrgyzstan—identifying both common themes and national variations. Mitchell's analysis also addresses the role of American democracy promotion programs, the responses of nondemocratic regimes to the Color Revolutions, the impact of these events on U.S.-Russian relations, and the failed "revolutions" in Azerbaijan and Belarus in 2005 and 2006.

At a time when the Arab Spring has raised hopes for democratic development in the Middle East, Mitchell's account of the Color Revolutions serves as a valuable reminder of the dangers of confusing dramatic moments with lasting democratic breakthroughs.

  • Sales Rank: #2944779 in Books
  • Brand: Brand: University of Pennsylvania Press
  • Published on: 2012-05-09
  • Original language: English
  • Number of items: 1
  • Dimensions: 9.10" h x .90" w x 6.00" l, 1.15 pounds
  • Binding: Hardcover
  • 256 pages
Features
  • Used Book in Good Condition

Review

"The Color Revolutions represents an important contribution to our understanding of what actually happened at the time and provides extremely useful insight about what the future might—or might not—hold for other countries where the desire for democracy is great but the roots of democracy are weak."—Richard Miles, former U.S. ambassador to Georgia, Azerbaijan, and Bulgaria



"Lincoln Mitchell has written a sober, concise, and thought-provoking analysis of the color revolutions in the former Soviet Union. As both a scholar and practitioner, he offers a unique and nuanced perspective on issues central to those revolutions and to regime change more broadly. His book is a must-read for anyone who wants a clear-eyed vision of the opportunities and pitfalls of democracy promotion in the twenty-first century."—Lucan Way, Associate Professor of Political Science, University of Toronto



"Although analytic reflections on the Color Revolutions are accumulating, nothing available matches this book's scope and depth. Mitchell's account, consistently searching and thorough, balanced and judicious, leads to some surprising and weighty conclusions that challenge the existing conventional wisdom on the Color Revolutions. It will likely stand for many years as the definitive work on the subject."—Thomas Carothers, Carnegie Endowment for International Peace

About the Author
Lincoln A. Mitchell is Associate Research Scholar at the Harriman Institute, Columbia University and author of Uncertain Democracy: U.S. Foreign Policy and Georgia's Rose Revolution, also available from the University of Pennsylvania Press.

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Senin, 20 Januari 2014

## Free PDF Disknowledge: Literature, Alchemy, and the End of Humanism in Renaissance England, by Katherine Eggert

Free PDF Disknowledge: Literature, Alchemy, and the End of Humanism in Renaissance England, by Katherine Eggert

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Disknowledge: Literature, Alchemy, and the End of Humanism in Renaissance England, by Katherine Eggert

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Disknowledge: Literature, Alchemy, and the End of Humanism in Renaissance England, by Katherine Eggert

Free PDF Disknowledge: Literature, Alchemy, and the End of Humanism in Renaissance England, by Katherine Eggert

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Disknowledge: Literature, Alchemy, and the End of Humanism in Renaissance England, by Katherine Eggert

"Disknowledge": knowing something isn't true, but believing it anyway. In Disknowledge: Literature, Alchemy, and the End of Humanism in Renaissance England, Katherine Eggert explores the crumbling state of learning in the sixteenth and seventeenth centuries. Even as the shortcomings of Renaissance humanism became plain to see, many intellectuals of the age had little choice but to treat their familiar knowledge systems as though they still held. Humanism thus came to share the status of alchemy: a way of thinking simultaneously productive and suspect, reasonable and wrongheaded.

Eggert argues that English writers used alchemy to signal how to avoid or camouflage pressing but discomfiting topics in an age of rapid intellectual change. Disknowledge describes how John Donne, George Herbert, Henry Vaughan, John Dee, Christopher Marlowe, William Harvey, Helkiah Crooke, Edmund Spenser, and William Shakespeare used alchemical imagery, rhetoric, and habits of thought to shunt aside three difficult questions: how theories of matter shared their physics with Roman Catholic transubstantiation; how Christian Hermeticism depended on Jewish Kabbalah; and how new anatomical learning acknowledged women's role in human reproduction. Disknowledge further shows how Shakespeare, Ben Jonson, and Margaret Cavendish used the language of alchemy to castigate humanism for its blind spots and to invent a new, posthumanist mode of knowledge: writing fiction.

Covering a wide range of authors and topics, Disknowledge is the first book to analyze how English Renaissance literature employed alchemy to probe the nature and limits of learning. The concept of disknowledge—willfully adhering to something we know is wrong—resonates across literary and cultural studies as an urgent issue of our own era.

  • Sales Rank: #503587 in Books
  • Published on: 2015-10-01
  • Original language: English
  • Number of items: 1
  • Dimensions: 9.10" h x 1.20" w x 6.10" l, .0 pounds
  • Binding: Hardcover
  • 368 pages

Review

"An unusually wide-ranging and original book, written with real stylistic flair. Eggert shows how alchemy, as both a discourse and a set of knowledge-practices, illuminates problems in many different domains, from transubstantiation to Kabbalah to debates over anatomy and reproduction. By using alchemy as a guiding thread, she reveals how each domain points up the limits of humanism in the early modern period. A delicately balanced, timely study that will be widely of interest to scholars of literature, science, medicine, and intellectual history more broadly."—Henry S. Turner, Rutgers University

About the Author
Katherine Eggert is Professor of English at the University of Colorado Boulder.

Excerpt. © Reprinted by permission. All rights reserved.

Introduction

"There are more things in heaven and earth, Horatio," says Hamlet to his friend, "Than are dreamt of in your philosophy." On the face of it, this is a quite reasonable thing to say at this moment in the play. Occasioned by the Ghost's appearance, which has rattled both men, Hamlet's remark suggests that ghosts are not something that you can think about properly, not in the framework you have at hand. When Horatio calls the Ghost "wondrous strange," Hamlet's observation assures him that this apparition falls into the category of things not knowable (1.5.172).

The question then becomes, though, how you are to think at all. One option—one that may seem tempting at this point in Hamlet—is to leave off thinking altogether. Certainly thinking has gotten no one anywhere so far in act 1. The watch and Horatio alike have been utterly wrong about what the Ghost's appearance portends, and Hamlet himself has already cast the political and familial complexities of the royal household in the half-light of his own highly idiosyncratic, and hence highly questionable, speculations and emotions. Now, after the Ghost's revelation raises more questions than it answers, Hamlet recommends to the other men that they suppress any desire for knowledge they may have. "For your desire to know what is between us"—that is, between Hamlet and the Ghost—"O'ermaster it as you may" (1.5.145-46). What a relief to be permitted to remain simply ignorant! If you never have to try to know anything, you never feel the shame of coming up with a theory that is manifestly wrong.

It is quite possible, however, that what Horatio calls "wondrous strange" is not the Ghost but Hamlet himself, whose "wild and whirling words" Horatio has already noted (1.5.139). And one of the most wondrously strange things Hamlet does in this sequence is put Horatio and the soldiers of the watch in what appears to be an untenable epistemological position. First, despite the fact that Hamlet excuses them from epistemic effort, it is clear that they do know something, or else Hamlet would not warn them to keep their knowledge of the Ghost close: "Never make known what you have seen tonight" (1.5.149). Second, what they are not to make known includes the fact that they know what Hamlet is up to when he "put[s] an antic disposition on" so as to hide his intent: "never . . . note / That you know aught of me" (1.5.177-87). While the men don't know what Hamlet has learned from the Ghost, they know that he has deemed the Ghost "honest" and thus has established a kind of working relationship with it (1.5.144). The sum effect of these remarks is that Hamlet evidently wants them not to know about the Ghost and about Hamlet's relation to the Ghost, even while they do know about the Ghost and about Hamlet's relation to the Ghost.

It is the founding premise of this book that Hamlet's epistemological request, while perhaps "wondrous strange," is perfectly plausible. It is possible not to know what one knows. Indeed, Hamlet, Horatio, and others like them—that is to say, humanistically educated men of the turn of the seventeenth century—were especially in need of this tricky epistemological maneuver as well as especially good at it. The knowledge practices of the late sixteenth and seventeenth centuries, I will be arguing, found themselves in such a long-standing crisis that such gyrations started to make sense. In this long interval of time England saw humanism, with its faith in how classical letters could shape moral and civic virtue, becoming less and less credible. But despite calls by the likes of Francis Bacon to sweep aside antiquated learning and start fresh, there was nothing to replace humanism—not yet. A discredited knowledge system that is nonetheless the only game in town: such a thing, as I will argue toward the end of this book, is largely what Hamlet has in mind. Before I get back to Hamlet, though, I will establish that Hamlet's age—an age that we may call late humanism, the Counter-Renaissance, or merely England's late Renaissance—develops a number of strategies for managing knowledge that are peculiar to the needs of a society governed by a threadbare but still ubiquitously operative educational scheme.

Many of those strategies amount to means for knowing less. The equal and opposite impulse of what William West has called the "encyclopedia culture" of early modern Europe—a culture "obsessed with collecting and sorting information . . . driven by the desire to map the world's order and to construct a universal theory of everything"—is an impulse to keep knowledge small, comfortable, familiar. While it is a commonplace that early modern intellectual culture experienced an explosive proliferation of knowledge at the same time that it experienced a proliferation of (mostly printed) texts, the recent work of historians like Ann Blair casts doubt on how cheerful early modern people were about this development. Blair describes a backlash of new techniques intended to organize, censor, and restrict the flow of information. Another form that backlash could take was simply to ignore new knowledge, either because it seemed revolutionary or subversive or merely because it would require that people adjust their views. Lucien Febvre and Henri-Jean Martin comment, for example, on the curious fact that, despite the prominent appearance in print of accounts of Europeans' explorations of the Western Hemisphere, Africa, and the Far East, these works were unpopular and relatively uncited in comparison to familiar and inaccurate works on geography that dated from before the great age of exploration. One response to the discomfort of the new is to stick with the old.

Other strategies for managing unpalatable knowledge in an age of late humanism, however, are more complicated and epistemologically interesting than simply constricting information's flow. These strategies cultivate the stance Hamlet advocates: being acquainted with something and being ignorant of it, both at the same time. I have invented my own word, disknowledge, for this peculiar epistemological maneuver, because neither the Renaissance nor my own age provides me with exactly the right term. True, the early modern period devised wonderful new language to express how it feels to believe one knows nothing. The sixteenth century, for example, saw the word skeptic enter English as a way of describing the state of epistemological anguish that Maurice Blanchot would later call "unknowing." In their turn, the twentieth and twenty-first centuries have devised invaluable terminology to describe how one acts in a fashion contrary to what one knows to be true, with Sigmund Freud's "disavowal," Jean-Paul Sartre's "bad faith," and sociology's "strategic ignorance" being perhaps the most useful. Yet none of these terms adequately pinpoints the process this book describes. The term disknowledge describes the conscious and deliberate setting aside of one compelling mode of understanding the world—one discipline, one theory—in favor of another. The state of knowing that results from disknowledge is not pure ignorance, but rather something more like what Peter Sloterdijk calls "enlightened false consciousness."

In this book I seek to catch disknowledge in action in a number of literary texts, and a few nonliterary texts, from England's late Renaissance. I ask what purpose disknowledge serves. From what kind of knowledge is the text turning, and to what other kind, and why? What I am looking for is what Harry Berger, Jr., calls "the Technique of Conspicuous Irrelevance": a text's "perverse insistence on . . . digressive elements." I am interested in that "perverse insistence," however, not when it is an irruption of the text's political unconscious but when it is a demonstrably conscious choice.

One sure sign that disknowledge is operating in a text is when bad ideas—or nutty ideas, or simply irrelevant ideas—start to look good. My focus in this book is on one discipline that literary texts persistently choose as a sign or signal of epistemological digression: the discipline of alchemy, which, among its many other attributes, was dogged by the reputation of being an especially bad idea. The literature and culture of early modern England were immensely attracted to alchemy for a number of reasons, not least because alchemy offers a treasure trove of metaphors for metamorphosis, or purification, or falsehood, or capitalism. But the literary texts I discuss in this book use alchemy not merely because it is a rich source of figurative language. They use it to signal the way that one knowledge system may be used to displace another, in a manner that allows the displaced system to be both known and not known. Alchemy can serve this purpose because of its own unusual status as a discipline of study and practice. Alchemy seemed, throughout its history and especially in the period with which this book is concerned, to be both true and false, both profound and risible.

In recent decades scholars have evaluated the truth value of early modern alchemy in several different ways. The first stems from the simple fact that "practical" alchemy—using heat to transform substances, primarily through either distillation or its "dry" counterpart, calcination—was truly useful. The working practitioners that Tara Nummedal calls "entrepreneurial alchemists" provided communities with medicines and metalwork, provided the mining and smelting industries with assaying techniques and furnace management, and provided artists and artisans with everything from the composition of new pigments (Jan van Eyck's extraordinary vermilion and verdigris) to a language that could adequately describe the transformation of goldsmithing materials under the influence of heat. Practical alchemists' workroom expertise has recently led a number of historians of early modern science to emphasize a second reason for alchemy's credibility: they have argued that far from being a sidetrack from the development of modern physics and chemistry, alchemy lent method, if not quite yet science, to what would become the scientific method of hypothesis and experiment. For example, William Newman and Lawrence Principe detail the similarities between the laboratory practices of Robert Boyle, father of modern chemistry, and those of his contemporary, alchemist George Starkey, both of them translating the mystical alchemical treatises of Jean Baptiste van Helmont into recognizably modern scientific techniques such as precise material quantification and the synthetic analysis of repeated experiments.

A third characterization of alchemy's truth value stems from the foundational work of Frances Yates, who argues that the "Hermetic tradition" of which alchemy was a part exerted a deep and abiding influence on early modern thought. As opposed to practical alchemy, this "theoretical" or esoteric alchemy explored alchemical purification as an analogue or even a partner to the highest aims of theology, philosophy, and moral philosophy. While the "Yates thesis" of a unified esoteric body of thought has been largely dismantled, her work has borne fruit in a number of fascinating studies of the seemingly endless proliferation in early modern Europe of alchemical symbology, in everything from emblem books to landscape paintings to ceramic tableware. Such exploration has proved especially useful for literary criticism, since alchemical imagery and sometimes larger alchemical structures pervade Renaissance literature, including texts that do not focus explicitly on themes of the magus or the alteration of material substances. Indeed, Karen Pinkus reads alchemy as something like the work of literature itself, "as much defined by a set of images, practices, rhetorics, and fetish-objects, as it is by the goal, the finished product."

So far we have covered some of the scholarship that emphasizes alchemy's truths and profundities. But it is equally the case that early modern alchemy was seen as a powerful delusion, one that possesses addled alchemical practitioners or is inflicted by alchemical con artists on greedy dupes. The connection of alchemy with falsehood and delusion applies to both its practical and its theoretical sides. Practical alchemists since the Middle Ages had garnered a reputation for counterfeiting and other forms of small-time cons and chiseling. Similarly, esoteric alchemy was labeled by any number of writers on natural philosophy as a fool's or a charlatan's game. Between the unsavory reputation of practical alchemy and the charges of intellectual incoherence leveled at theoretical alchemy, by the late sixteenth and seventeenth centuries the very word alchemy was convenient shorthand for obfuscation, misguided learning, and outright scams. As the alchemist's apprentice in John Lyly's 1583 play Gallathea comments, "such a beggarly science it is, and so strong on multiplication, that the end is to have neither gold, wit, nor honesty." Stanton Linden's important book on this topic directs us past the most obvious instances, stories about alchemists, into a widespread and long-standing satiric tradition that associated alchemy with falsehood; his examples include not only classic con artist tales like Geoffrey Chaucer's Canon's Yeoman's Tale and Ben Jonson's The Alchemist but also Francis Bacon, John Donne, George Herbert, John Milton, and more. A separate but similarly fruitful line of inquiry—one traced by Peggy Knapp, William Sherman, and David Hawkes, among others—explores the literary associations between alchemy and counterfeit money, suggesting that the charges of falsifying or debasing coinage that were typically leveled against alchemists signal the bad faith at the heart of nascent capitalism.

Alchemy as practical art; alchemy as protoscience; alchemy as esoteric knowledge and literary ally; alchemy as falsehood. It is easy to see how all of these explanations for the continued allure of alchemy can hold true in a single culture. Alchemy need not mean the same thing at all times to all people. This book, however, explores something quite different: how all of these seemingly incommensurable aspects of alchemy are, for some writers, all true at the same time. For the authors I examine in this book, alchemy can be, all at once, true (a practical art, protoscience, or syncretic philosophy), false (a delusion or a con game), and unprovable (a literary model). Crediting alchemy's reputation for creating new physical materials and new metaphysical and moral states of being but also remembering its reputation for falsehood, some writers associate alchemy with that same dual state of awareness. Alchemy, in other words, suggests for these writers a special and important epistemological status: it can be characterized as knowledge that is also nonknowledge. More precisely, as I have already suggested, these writers can deploy alchemy to signal a mode of choosing not to know what one knows.

Investigating how disknowledge works and the uses to which it may be put is part of the project that Robert Proctor and Londa Schiebinger have called "agnotology," or the study of applied ignorance. While my own book is an effort in agnotology, one that also (as I will detail in Chapter 1) draws inspiration from the relatively new field of "ignorance studies," it is so because the likes of Edmund Spenser, John Donne, William Shakespeare, Ben Jonson, Margaret Cavendish, and the other authors addressed in this book are extraordinary agnotologists, thinkers who not only use but also expose and analyze their culture's reasons and methods for shunting aside certain modes of knowing. And these authors' agnotological abilities, in turn, are enabled through literature's own agnotological propensities. At even its most basic level, the level of the trope, literature depends on deliberately saying this in place of that, substituting what is understood as fictional for what is understood as real. What literature also does, however, is insinuate that this is preferable to that: as Philip Sidney puts it in the Defense of Poetry, we prefer literature's golden world, however not-true it is, to history's world of brass. To know something literarily is a conscious choice over knowing it factually. The authors I examine in this book not only engage in that choice but represent it, in effect undertaking their own study of the fancy footwork and clever crosstalk required to make disknowledge take hold.

Analyzing these authors' canny song and dance helps me refine my sense of this book as an undertaking in "historical epistemology," as Lorraine Daston, following Arnold Davidson, calls "the history of the categories that structure our thought, pattern our arguments and proofs, and certify our standards for explanation." Daston notes that such study "transcends the history of ideas, by asking the Kantian question about the preconditions that make thinking this or that idea possible." In the case of alchemy, the structures of thought that were in place made simultaneous faith and disbelief possible. But the fact that these structures are, indeed, historical indicates that they are not prefabricated ideology. Rather, they are put in place, incrementally, each time an argument or proof explicitly depends upon them. The kinds of microchoices that reveal themselves under the lens of literary analysis constitute these incremental building blocks, and attending to the patterns they establish will help us understand how the use of alchemical imagery may signify a series of deliberate determinations of what can and cannot be known. Such an examination of epistemic choice is not at all incompatible with the Foucauldian assumption that "at any given instant, the structure proper to individual experience finds a certain number of possible choices (and of excluded possibilities) in the systems of society." Of most interest to me, in fact, are the textual productions of authors who were considered, or at least considered themselves, as entrusted with making knowledge on behalf of social systems. Arguably, it is precisely their sense of privilege regarding their role as knowledge makers that makes their texts discerning and self-conscious about what disknowledge is good for. Nor is an examination of epistemic choice incompatible with a Kuhnian sense that any massive, revolutionary shift in theoretical systems effectively cancels one set of things that are known and replaces it with another, different set. After all, Thomas Kuhn himself describes the "crisis stage" between the demise of the old theoretical system and the advent of the new as one in which scientists deliberately cobble together bits of old and new in a conscious effort to think two incompatible ways at once.

Disknowledge is, in the end, a deliberate means by which a culture can manage epistemological risk. Early modern England felt itself at risk in many arenas that feel quite familiar today, from credit crises to terrorism. Among those arenas, however, perhaps the most pervasive and the least subject to control was what David Glimp has called "the global flow of risky knowledge." The sense among the early modern intelligentsia that knowledge was risky was both self-generated and imported. Even while they wrestled with the desirability and practicality of a humanist ideal in which, in theory at least, there was nothing that could not be safely known, early modern intellectual circles struggled to absorb challenging bodies of knowledge that came from "out there," whether they were entirely new (such as new scientific theories) or simply unorthodox (such as non-Christian theologies). Learning while not learning was a path sometimes taken to manage that epistemological risk. For example, Schiebinger has recently analyzed the curious phenomenon of botanists of the seventeenth and eighteenth centuries—the great age of not only colonial expansion but also botanical classification—who refused to transmit knowledge of particular New World plants: those that induced abortion. Burgeoning European empires required a larger population, not a smaller one. Hence, their agents, despite being devoted to the advance of science, decided not to learn what they had in fact come to know. Not because they were censored, or censored themselves. Not because they were like the colonizers of North America who, in Paul Mapp's account, made poor geopolitical decisions because of poor maps—that is, because they did not understand the scope of what lay before them. Rather, they simply and professedly believed it dangerous for European women to have access to information about abortifacients, and thus they chose not to learn about what the New World had to offer. Like Milton's Adam, they knew to know no more.

To explain disknowledge further, then, I begin Chapter 1 by addressing the state of learning in the age of late humanism. Humanism's reading and research tools, along with its curriculum of letters, remained the standard for both education and scholarship throughout the sixteenth and seventeenth centuries. However, as I have already suggested, late humanism was beset with a crisis of confidence brought on by shifts in thinking about such issues as epistemology, matter theory, and the advisability of following classical models in shaping personal and national character. Religious and ideological divides meant that late humanism also found its ideal of syncretic knowledge impossible to maintain. One of the reasons, I believe, that authors reached so easily for alchemical metaphors when it came to considering knowledge practices was that alchemy, though it precedes humanism chronologically, adopts humanistic goals and practices and thus shares humanism's fissures. But while all of humanism's shortcomings—including, for example, the new Baconian suspicion that rhetoric was mere frippery rather than truly consequential—were also charges that could be leveled against alchemy, the discourse of theoretical alchemy undertook a magnificent rearguard action against the forces undermining humanism's legitimacy: it threw all of its resources into rhetorical extravagance and into figuration of every kind. That very process of figuration—the turn that defines the act of troping—becomes the grounds, I argue, for alchemical discourse's profitable associations with disknowledge. Proposing a theory of disknowledge that compares and contrasts it to other twentieth- and twenty-first-century models of possessing two incongruous states of knowledge at once, this chapter also begins to sketch out why, exactly, alchemy's habits of learning and expression make it such a suggestive metaphorical referent for thinking about one thing rather than another.

I focus in the succeeding chapters on three different intellectual domains that, in the literary works I discuss, are shunted aside with the specific aid of tropes from alchemy: the matter theory underlying the Roman Catholic dogma of transubstantiation; the Jewish tradition of Kabbalah; and the study of female reproductive anatomy. These were intellectual domains that sixteenth- and seventeenth-century England had particular need of disknowing, and the literary works discussed in these chapters share in the cultural project of turning from these uncomfortable topics. At the same time, however, these literary works expose the motives for disknowing these three intellectual domains and the processes by which they are disknown.

I have chosen these three topics for my focus because, in many ways, they share the peculiar epistemological status of alchemy that I described above, and thus are particularly amenable to the use of alchemical tropes. Transubstantiation, Kabbalah, and human reproduction are sixteenth- and seventeenth-century areas of inquiry in which transformation of some kind is at stake—physical, metaphysical, or biological. They are also, however, areas of inquiry in which the nature and even the possibility of genuine transformation are hotly debated. Transubstantiation, while officially discredited in post-Reformation Protestant theology, nevertheless continues to come up in discussions of Aristotelian matter theory and the newer matter theories that are beginning to challenge it. Kabbalah, which promises both physical and metaphysical transformation by means of uniquely powerful linguistic tools, is under suspicion because of its roots in Jewish learning. And the functions of female reproductive anatomy are being reevaluated in part because no one could agree on what role, if any, women's reproductive organs play in the transformation of reproductive matter from seed into child. In all three of these fields it is thus equally possible to rely on theories of transformation and to suspect that those same theories are theologically, biologically, or physically spurious.

My first focus is transubstantiation, and Chapter 2 explores how the metaphysical poetry of John Donne, George Herbert, and Henry Vaughan participates in the fits of cultural amnesia that necessarily surrounded the issue of Roman Catholicism in early modern England. Alchemical imagery in Donne, Herbert, and Vaughan facilitates the deliberate forgetting of the Roman Catholic doctrine of transubstantiation, while at the same time highlighting the fact that the Catholic physics underlying transubstantiation had shaped the Aristotelianism that still held currency in seventeenth-century matter theory. Quite ironically, it is because alchemy and transubstantiation share a status as physically dubious that these three poets find alchemy a useful replacement for transubstantiation. Their motives are quite different, however. Whereas Donne conjoins alchemical with Eucharistic imagery to provide some intellectual relief from taking the transformation of matter seriously, Herbert uses alchemy to signal how he finds such questions serious but unanswerable. Tracking Herbert closely, Vaughan—quite surprisingly, considering that he was not only the brother of a prominent alchemist but also dabbled in translating alchemical texts himself—uses alchemy to diverge from the nature of matter entirely. Vaughan's physical world is not a world of physics, and it is alchemy that signals it so.

Chapter 3 turns from alchemy's associations with Catholicism to what it and the other esoteric arts draw from Judaism. My topic here is how Christian theorists of the esoteric arts, like Christian scholars more generally, capitalize on reading techniques taught by late humanism to wrest Jewish learning from Jews. I begin with John Dee, whose hopes of purifying the physical universe through the manipulation of symbols attracted him to the alchemical use of Kabbalah. Dee's method of learning Kabbalah, however, may be fairly characterized as "skimming," a habit of learning he shares with Christian kabbalists from his age and beyond that relieves him of the responsibility for being true either to the Hebrew language or to the vast, seemingly impenetrable, and theologically suspect body of Jewish knowledge that Kabbalah represents. I then address Christopher Marlowe's Doctor Faustus and William Shakespeare's The Tempest, two plays that reference Dr. Dee but present two very different takes on Christian methods for simultaneously employing and discarding Jewish learning. Whereas Faustus endorses the utility of clever scholarly skimming in order to avoid unintended consequences—like, say, going to hell—The Tempest physicalizes the presence of the Jew in the slave Caliban, and thus reminds us of the undeniable source of the learning one has skimmed.

After attending to religion I turn to texts that use alchemy to help ponder how to handle one of the emerging adept sciences of the seventeenth century. Chapter 4 explores how anatomical and literary texts stave off the startling (and, to many, unsavory) new accounts of the female reproductive organs that became available in printed vernacular sources in England in the late sixteenth and seventeenth centuries. I begin with William Harvey, whose surprising introduction of alchemical imagery into discussions of mammalian reproduction coincides with his reading, then dismissing, his predecessor Helkiah Crooke's stout contention that women's contributions to the conception of children are as potent and as formative as men's. I then examine the way that literary texts deploy alchemical tropes in order to echo, play out, and critique the fantasies concocted by the refusal to see what could be known: women's essential part in forming children. On the one hand, in these works women are reformulated into the imagery of the alchemical experiment, in which fecund, productive vessels harbor the growth of new life. On the other, these works also tend to ironize such imagery, teasing the reader with the prospect of female bodies as either inert, dumb experimental vessels (who would want such a companion?) or powerful and perhaps incomprehensible bearers of transformation (who could control such a being?). Analyzing Spenser's Faerie Queene and Shakespeare's Love's Labour's Lost, Chapter 4 addresses how alchemy's alliances with disknowledge help frame larger issues: not only what can be known of the female body but also the ethical, social, and literary motivations for maintaining a particular epistemological relation to the feminine.

This book's final topic is different. I turn in Chapter 5 to how some authors make use of alchemical tropes to ponder the status of seventeenth-century knowledge making itself, and especially the odd form of knowledge making that is the writing of literature. It is no accident that Sidney's trope in The Defense of Poetry for how literature works is an alchemical one. The poet's fiction replaces the historian's fact, just as gold alchemically replaces brass. But alchemy complicates the seemingly straightforward analogy between gold and brass on the one hand, and fiction and fact on the other. "Fact," as Mary Poovey has helped us recognize (and as Sidney himself intuited), is an invented phenomenon: facts come into being in exactly the period of late humanism as a result of disciplinary pressures to account for a rapidly changing and increasingly economic existence. If facts serve disciplinarity, though, so too may fiction. The alchemical metaphor serves Sidney's purpose because alchemy's straddling of the epistemological divide between known and not known, true and not true, suggests a new role for literature in the posthumanist divvying up of fields of learning.

By way of disciplinarity, alchemy comes to represent a choice for literary authorship. When Sidney's analogy is taken up by Shakespeare, Jonson, and Cavendish, it becomes the occasion for a meditation on where literature stands in an age of late humanism, when humanism's ideal of basing a perfected society on literary models was manifestly crumbling. It is true, as Anthony Grafton has argued, that the methods of emerging science continued to depend on humanist habits. Nevertheless, the seventeenth century registered humanism's demotion, and the place of alchemy in these authors' works helps us understand some of the ways this demotion is felt in the literary realm: either as loss or as opportunity. Either literary endeavor may align itself with a threadbare vision of an intellectually omnivorous humanism or it may embrace a new specialism—the specialism of the writer. Those two incomparable plays bracketing the first decade of the seventeenth century, Shakespeare's Hamlet and Jonson's The Alchemist, put the case rather clearly. They distinguish between characters whose alchemical references point toward their pretensions for an all-encompassing knowledge scheme (Hamlet) and those whose alchemy indicates a willing alliance with discrete domains of disknowledge such as literature (Subtle, Face, and Dol Common). Cavendish's Blazing World, in the wake of Shakespeare and Jonson, reconceives literature not as a source for truth, as humanism would have it, but as so woven into the texture of the material world that it belongs to everyone, not to humanistically educated men alone.

In recent years, scholars from the humanities, social sciences, and sciences have proposed that the embrace of ignorance or nonknowledge in one fashion or another—from skepticism to the sublime to relativity to probability—marks and grounds intellectual culture's shift from the premodern to modernity. In the end, alchemy can represent modernity for early modern authors in that it can demonstrate a way forward for knowledge practices otherwise mired in the no-longer-useful past. That way forward, however, may either frighten or hearten us, depending on the variety of disknowledge we see deployed. While this book's argument does not extend to the present moment, it is my hope—even if a chagrined one—that the reader will quickly recognize how the habits of disknowledge impinge in damaging ways upon current learned discourse. The twenty-first century, at least in the United States, is an age of disknowledge redux, as elaborate systems like the theory of "intelligent design" are crafted merely so that they may replace bodies of knowledge that are subject to disapprobation. As Bruno Latour has pointed out, scholarly efforts of the last few decades to expose "facts" as socially constructed are all too easily enlisted in such causes. When any scientific theory, no matter how well founded, may be viewed as a conspiracy theory, disknowledge can be a valuable way of shoving it aside. The use of alchemy by the writers I discuss might, in other words, model for modernity one of its most supple and frightening ideological strategies: not believing in what is not true, but rather knowing it is not true yet still acting as if we did believe.

Based on its affiliations with fiction, though, an alternative for early modern disknowledge is that it might model for modernity a kind of nimble epistemological and literary inventiveness. Gottfried Wilhelm Leibniz once told the story of how, hoping to consult a secret society of alchemists in Nuremberg even though he knew very little alchemy, he "read some alchemical books and put together the more obscure expressions—those he understood the least." The result was a letter of petition that not only got him admitted to the society but secured him an invitation to be its secretary and the offer of a pension. On first glance, the moral of the story seems to be how to fake it. Leibniz's use of alchemical books parodies and hence undermines his own humanistic training: essentially, he mines alchemical books just as early modern schoolboys mined classical sources, extracting commonplaces they did not understand. But Leibniz is not exactly faking it. He is interested in alchemy because its physics is compelling to him, even if he has not yet mastered the lingo. Thus his petition amounts to creating knowledge, even while eliding its absence. Alchemy gives Leibniz the occasion to engage in an inventiveness that is a far more cheering form of disknowledge. Turning from one kind of understanding can lead to another kind—one entirely new and, in its way, entirely true. True in a way that has never before been dreamt of, neither in your philosophy nor in any other avenue of your current habits of learning.

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The Jew in the Art of the Italian Renaissance (Jewish Culture and Contexts), by Dana E. Katz

Renaissance Italy is often characterized as a place of unusual tolerance and privilege toward Jews. Unlike England, France, Germany, Spain, and Portugal, the princely courts of early modern Italy, particularly Urbino, Mantua, and Ferrara, offered economic and social prosperity to Jews. When anti-Jewish hostilities created civic tumult in this region, secular authorities promptly contained the violence.

Yet this written record tells only one part of the story. Pictures tell another. In The Jew in the Art of the Italian Renaissance, Dana E. Katz reveals how Renaissance paintings and sculpture became part of a policy of tolerance that deflected violence to a symbolic status. While rulers upheld toleration legislation governing Christian-Jewish relations, they simultaneously supported artistic commissions that perpetuated violence against Jews. The economic benefits Jewish toleration supplied never outweighed the animosity toward Jews' participation in the Christian community.

Katz examines how particular forms of visual representation were used to punish Jews symbolically for alleged crimes against Christianity, including host desecration, deicide, and ritual murder. The production of such imagery testifies to the distinctive Jewry policies employed in the northern Italian princedoms, republican Florence, and imperial Trent. The book provides new insights into famous masterworks by Andrea Mantegna, Paolo Uccello, and others, placing these paintings within a larger discourse that incorporates noncanonical, provincial works of art.

  • Sales Rank: #2723445 in Books
  • Brand: Brand: University of Pennsylvania Press
  • Published on: 2008-05-07
  • Original language: English
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  • Dimensions: 9.00" h x .85" w x 6.44" l, 1.17 pounds
  • Binding: Hardcover
  • 240 pages
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Review

"A rigorous, well-written, and readable book on the sensitive topic of Christian anti-Judaism and its manifestation and transmission in fifteenth- and sixteenth-century Italian art. The Jew in the Art of the Italian Renaissance will stand as the definitive study of its topic."—Stephen Campbell, The Johns Hopkins University

About the Author
Dana E. Katz teaches art history and humanities at Reed College.

Excerpt. © Reprinted by permission. All rights reserved.

Introduction

Princes, Jews, and the Rhetoric of Tolerance

Before the calm night sky and peaceful rolling hills of a northern Italian landscape, a Jewish moneylender, his wife, and two young children are burnt at the stake in Paolo Uccello's 1468 predella panel for the Corpus Domini Altarpiece in Urbino. Renaissance paintings in other northern Italian cities resemble Uccello's panel in that they portray Jews as deviant outcasts of Italian society. In Mantua's Santa Maria della Vittoria, a Madonna and Child altarpiece depicts the Jewish moneylender Daniele da Norsa who allegedly desecrated a Christian image. In Ferrara's Augustinian refectory at Sant'Andrea, a fresco represents the slaying of Synagoga, the personification of Jews and Judaism, despite St. Augustine's prophetic policy on Jews in Christendom: "Slay them not, lest they forget your law." Placed within ecclesiastical and monastic spaces for Christian consumption, these paintings are images of punishment, commissioned or approved by the despotic rulers of Italy to humiliate and deprecate Jews.

In contrast to the antipathy toward Jews portrayed in painting, contemporaneous written documents suggest that the Renaissance was a period of unusual tolerance and privilege for Jews. Marquis Francesco Gonzaga, for example, stated in a grida (proclamation) dated 2 March 1515 that the recent popular uprising against the Jews in Mantua greatly displeased him. The grida explains that Jews are tolerated by the Roman Church and must also be tolerated in the Gonzaga dominion by the marquis's subjects. Accordingly Francesco declares, "no one under any condition, now or in the future, can dare presume to injure or displease any Jew in any way under penalty of three pulls of the cord [i.e., the rope hoist, an instrument of torture]." The marquis explains that the penalty is irreversible and will take place immediately. Moreover, if the offense committed against the Jew is particularly egregious, the marquis will adjust the punishment to fit the crime.

Scholars, influenced by the rhetoric of contemporary state letters, princely decrees, and notarial registries, have portrayed the Renaissance as a period of unusual princely toleration for Jews and the Italian principalities as a safe haven for Jewish difference. Cecil Roth in his History of the Jews of Italy speaks of an idealistic toleration of Jews in fourteenth-century Italy, free from religious and sociopolitical persecution by the Italian princes, prelates, or populace. Roth writes:This period of expansion was from some points of view the golden age of Italian Jewish history. In the south, the ruined Jewries were being nursed back into life; in the north, there was steady growth, general prosperity and a ferment of intellectual activity. A flow of immigrants arrived from abroad, new centers were established in almost unbroken succession, the older ones constantly expanded . . . . Only in Italy did the Jews enjoy general well-being. A few setbacks are chronicled, but they are isolated and exceptional. If, during civic disturbances, the Jews may sometimes have suffered more than their neighbors, this did not betoken a persecutory spirit among the people.

Roth's historical approach to Italian Jewry searches for periods of social and intellectual exchange, moments of harmonious symbiosis, between Jews and Christians, as he frames his study of the past in relation to the present-day context still recoiling from the Holocaust. For Roth, the fifteenth and sixteenth centuries brought socioeconomic prosperity to the Jews in Renaissance Italy, whose well being incited anti-Jewish hostilities, particularly in northern Italy where venomous sermons against the Jews by the influential Observant Franciscans gave rise to periodic social disorder. Such turbulence, according to the author, was momentary, and was not tolerated in the Italian courts or the republics such as Venice, where rulers "ordered protection to be given to the Jews throughout their territories."

Roth's reconstruction of Italian Jewish life, however uncritical, elucidates the general attitudes of toleration characteristic of Renaissance Italy, specifically the northern Italian principalities. Indeed, relative to the virulent aggressions against the Jews in contemporary Spain and to the Jews' loss of rights and ghettoization beginning in the sixteenth century in certain Italian cities including Venice and Rome, the Italian Renaissance courts stand apart in their tolerance of Jews. But what is toleration in the early modern context? How do derisive paintings of Jews participate in the promotion of Renaissance tolerance? In this study, I seek to explore the different nuances of meaning embedded in the concept and practice of tolerance in the Italian courts by examining the written history of Renaissance Jews documented in Italian archives and interpreted by historians, and the visual history recorded in sacred painting. This book provides an extensive study of the relations and negotiations between Jewish cultural history and the visual culture of the Italian Renaissance, a period in which art flourished and forged new societal values and behaviors. I investigate how the Renaissance term "tollerare" acquired local meanings depending on cultural context and how the dynamics of tolerance inevitably were linked to civic identity, particularly the identity created by and for the Christian prince.

The Renaissance principalities of Urbino, Mantua, and Ferrara are the focus of this study because of their relatively prosperous Jewish populations and because all three city-states shared regional and political affinities as northern Italian territories and as hereditary principalities governed by a single despot. I examine the three princely states as case studies and contrast them to republican Florence and imperial Trent. An analysis of the Florentine and Tridentine contexts provides salient contrast to my investigation of the Italian courts, placing in relief the unique character of the Jewish-Christian encounter in the Renaissance principates. Whereas the rulers of Renaissance Urbino, Mantua, and Ferrara initiated similar Jewry policies, the manner in which each prince executed such policies differed depending on the nature of the prince's political hold on his territory and his subjects. I analyze how each of the Renaissance court rulers distinctively upheld toleration legislation governing Christian-Jewish relations, while simultaneously supporting artistic commissions that perpetuated violence against Jews. In particular, I explore how the different forms of representation used to depict Jews in Italian Renaissance court painting, such as narrative, portraiture, and allegory, both induced the limited persecution of Jews and helped to maintain the Jews' safety. Though the effects of this pictorial language may appear contradictory, I argue that the symbolic violence targeted against local Jews in the princely courts ultimately sought to unify the larger community and foster civic harmony.

Toward a Definition of Tolerance

The notion of tolerance discussed in this study is not synonymous with the Enlightenment call for religious acceptance put forth by John Locke (1632-1704) in his Letter on Toleration of 1689, nor is it analogous to the modern theories of liberalism and skepticism elaborated in the eighteenth and nineteenth centuries by Immanuel Kant, Wilhelm von Humboldt, Benjamin Constant, and John Stuart Mill, who advocated tolerance of individual thought and speech, acceptance of non-Christian belief systems and rejection of religion, and the right to privacy and personal liberties. For not only does this discussion of tolerance predate its theoretical conceptualization beginning in the late seventeenth century, it approaches the varying contours of toleration from a social historical point of view, rather than from the perspective of philosophy or intellectual history.

The definition of tolerance treated here corresponds to the privileges given to certain groups of social deviants to dwell among the communities in Latin Christendom provided such dissenters served a beneficial role in the society as a whole and proved no threat to Christianity. The medieval notion of tolerance, which circulated in the works of canon law and scholasticism, was thus a policy of patientia toward nonbelievers and other outgroups inasmuch as it justified deviance within a community that refused to accept freedom of religion or religious plurality. Tolerance as a political concept offered limited social forbearance to select marginalized groups while opposing policies of expulsion and extermination.

Thomas Aquinas (1225-1274) wrote in his Summa theologica that toleration of evil is necessary if greater evil should come from intolerance or the expulsion of deviance. In this sense, prostitution was permitted in medieval society lest men be destroyed by their own unchanneled lust and resort to the great sin of adultery, rape, or sodomy. Lepers, beggars, and the insane were also served by the medieval idea of tolerance as a result of their physical or economic impediments because their presence ideally inspired the generosity of Christian charity. The only forms of social dissent to go beyond the boundaries of tolerable behavior was that of heretics and homosexuals, for both were thought to have committed the greatest of sins that threatened the moral center of Christian civilization. By refusing to subscribe to ecclesiastical doctrines and authority, heretics scandalized the Church by publicly spreading heterodox beliefs, whereas homosexuals were labeled immoral and iniquitous by the Christian faith because of their sexual practices, which were thought to threaten the distinction between the sexes.

The Thomistic conception of toleration moreover gave theological support to the continued civic participation of Jews in communities throughout Christendom. Christians were never to embrace Jews—whom Thomas calls "our enemies"—as members of the community, but as practitioners of evil rites whose work in the moneylending business served to induce economic prosperity. For scholastic writers usury (defined most generally by a loan requiring a borrower to repay more than the initial sum lent) was more than a sin against the just price, usurious practice in its Christian setting was a sin against nature. As Jacques Le Goff writes, "The usurer's only chance for salvation, since all his gain was ill-acquired, was to make total restitution of what he had earned." While spiritual confessors made restitution and purgatory an alternative for the Christian lender who struggled between wealth and eternal damnation, legal injunctions issued by secular authorities served Jewish usurers whose credit induced economic equalization and prosperity in the monetized society of medieval and Renaissance Europe. Bob Scribner, studying the historical phenomenon of religious toleration in early modern Germany, writes that tolerance based on economics was the result of pragmatic policy-making by civil magistrates, which was effected only after several generations of clerical opposition. Toleration policies rooted in economics offered the margins of society, including Jews, only tenuous privileges. Only so long as the presence of Jewish merchants and moneylenders proved economically necessary for the community was the tolerance of Jews communally feasible.

The vulnerability of tolerance policies and the potency of its ensuing politics are well exemplified in the fifteenth-century duchy of Milan. Extant condotte (charters) from the fifteenth century record the conditions of Jewish residency in the Milanese dominion. The duke and local authorities approved such documents for individual Jews or groups typically for a period of ten years. Jews, such as Salomone Galli, son of Abramo, in Parma, were to lend money at a fixed rate of interest; in exchange, they could observe Judaism and Jewish holidays, as well as build synagogues, cemeteries, and kosher slaughterhouses. The agreements provided the Jews the right to reside in the duchy, assured their safety, and offered them legal protection. For example, in 1452 Francesco Sforza, signore of Milan, defied Pope Pius II's order to tax the Jews of the duchy one-fifth of the value of their possessions in order to finance the crusade against the Turks. The Sforza policies of tolerantia continued under Duke Galeazzo Maria Sforza; nevertheless, Lodovico Maria Sforza, Galeazzo's successor, expelled all Jews from the duchy on 3 December 1490.

The orders for expulsion came after a heated trial beginning on 26 March 1488 in which Vincenzo, a Jew who converted to Christianity, accused 38 Jews of inserting anti-Christian statements in several Jewish texts, including the Talmud and the Mishneh Torah of Maimonides. The Christians' translation of the Aramaic texts alleged the Jews called the Virgin Mary a harlot and condemned Christ to eternal damnation. Authorities sentenced nine of the indicted Jews to death by decapitation. Their punishment, however, was commuted to a fine of 19,000 ducats, confiscation of their property, and expulsion. Lodovico ordered the remaining accused banished from the dukedom, leaving their property to the camera ducale. The prince never fully carried out the general expulsion of his Jewish subjects, as documents indicate that he issued a condotta in 1498 to the physician Solomon, son of Aaron Gallico, to serve as the prince's book dealer. Lodovico occasionally permitted Jewish merchants and doctors in Milan but only under special circumstances, and granted temporary condotte for brief periods of time. Although certain Jews remained within city walls after the exile, the general banishment of the Jewish community bespeaks an intolerance intrinsic to Lodovico Sforza's political directives.

Such policies contrast significantly from those adopted by the princes of Urbino, Mantua, and Ferrara, neighboring Italian city-states where toleration prevailed. In these small Renaissance princedoms individual Jews were punished for alleged blasphemies, yet the security of the Jewish collective remained intact. Sforza Milan offers an intriguing counterpoint to the case studies discussed in this book, which principally treats the ways in which the Jew figured in the visual culture of Christian Urbino, Mantua, and Ferrara. Whereas paintings in these small courtly communities portray Jews committing impious acts against Christianity, no analogous image can be found in Milan. Jewish liturgical books in the Milanese territories represent Jews engaging in various religious rituals, yet these illuminated manuscripts were used exclusively within the Jewish context. In this book I explore how deprecating pictures of Jews in Christian art of the Renaissance sought to unify the community and define its parts. Symbolic violence in the form of paintings offers an evocative look at the contours of toleration in several Italian Renaissance courts. Milan's intolerance of Jews via expulsion made such civic definitions of community obsolete and therefore such defamatory paintings unnecessary.

Milan during the Renaissance was a large city and major international trading center in Europe. Because of the profitability of its mercantile economy, Jewish moneylending, though beneficial to local credit markets, was expendable. In fact, Genoa, another powerful maritime force in the Italian peninsula, also refused to permit Jewish settlement. In the Milanese example Jews proved politically detrimental to the Sforza lords, particularly after the 1488 trials when popular animosity and rioting against Jews was most volatile. The expulsion order testifies to the vulnerability of local Jews but also of Lodovico Sforza himself. The Sforza was a new dynasty in Milan, not recognized by the Holy Roman Empire until Lodovico purchased the ducal title in 1494. His shaky claims to legitimate rulership made him susceptible to attack, evidenced in 1499 when the French sacked Milan and took Lodovico prisoner.

Urbino, Mantua, and Ferrara by contrast were small, hereditary principalities governed for centuries by well-established despotic families. Machiavelli discusses the particularity of the hereditary principalities in The Prince (1513):I say, then, that in hereditary states, accustomed to their prince's family, there are far fewer difficulties in maintaining one's rule than in new principalities; because it is enough merely not to neglect the institutions founded by one's ancestors and then to adapt policy to events. In this way, if the prince is reasonably assiduous he will always maintain his rule.

These Renaissance princedoms, despite their modest size, curried significant powers as a result of the princes' savvy politics, including the strength they obtained through marriage and through allies achieved from military victories. In this smaller political forum, the signori encouraged Jewish settlement to promote the development of private credit markets and public finance. A symbiotic relationship formed between Jewish moneylenders and the Italian Renaissance courts: the moneylenders earned compensation by providing the poor with small loans at a rate of interest often greater than that offered by the Christian lenders, while the city benefited from the influx of capital and increased revenue exacted from the Jews as taxes. Previously banned by the merchant and artisan guilds as a consequence of their religious difference, Jews turned to usury and participated directly in markets of money exchange. By the beginning of the fifteenth century, over two hundred Jewish communities had settled in the region, and by mid-century Jewish moneylending played a significant role in the economic affairs of the cities in the north.

Although tolerated by northern hereditary princes for their economic acumen, Jews were simultaneously relegated to a subordinate, inferior position in the city, barred from full participation in the community. Their marginalization was the direct result of the prince's policy of tolerance that called for the incorporation of a Jewish presence, albeit on the city's outskirts. In sum, Jewish inclusion in medieval and Renaissance society was a function of their communal exclusion. Jews were denied access to the civic body (civitas) for the sake of the community's purity, as civic identity throughout the communities in Latin Christendom was defined by its common belief in Christianity, and not through the diversity of its parts. Although they did not suffer the pogroms and expulsion endemic elsewhere in contemporary Europe, the Jews of northern Italy endured ritualized, symbolic forms of violence. The specious accusations against Jews of ritual murder, host desecration, and image profanation, in addition to the ceaseless charges of deicide and usurious corruption, became a prominent part of the sociocultural topography of Renaissance Europe and had a marked presence in the visual arts. This imagery flourished throughout the continent, inculpating European Jewries primarily from the twelfth to the sixteenth century. This new pan-European visual language also became part of northern Italian local history, connecting violence and toleration in a dialogical relationship that solidified the prince's power and delineated communal boundaries.

This book investigates how Christians defined themselves and their faith through the production of images that sought to vilify Jews in order to create a unified Christian social body. I bring to light evidence not treated in examinations of medieval tolerance or in historical surveys of Italian Renaissance Jewries. By juxtaposing the extant visual and verbal documentation, this study provides a balanced examination of how subtle yet systemic persecution targeted against local Jews entered Italian campaigns of toleration. I seek to provide new insights into famous masterworks by artists such as Andrea Mantegna and Paolo Uccello and place these paintings within a larger discourse that incorporates noncanonical, provincial works of art. An examination of these paintings provides valuable information on the religious polemics of the time as well as coeval despotic politics and policies of civic identity. It is my contention that painting became part of a seigniorial policy of tolerance that deflected violence from the real world onto a symbolic world that ensured the continuation and simultaneous containment of violence against Jews. Painting possesses the power to impose a reality on its subjects and to ensure the continual efficacy of that reality. This study explores pictures of Jewish degradation within their local courtly contexts to understand how painting constructed a Jewish reality based on myth but artfully imprinted in history.

Historicizing the Jew in Renaissance Italy

Direct acts of persecution against the Jews of Italy can be traced back as early as the thirteenth century, when in 1291 the Jews of southern Italy, a community with origins in the region dating to the first century, faced forced conversion or death. With the near destruction of Italian Jewry in the south, its survivors migrated to Rome where they received papal privilege and by the fourteenth century to northern Italy where they obtained the protection of the secular princes. Moneylending, although viewed as an illicit profession and a canonical sin that went against the natural order, became a significant catalyst in the economic prosperity, population growth, and cultural rebirth of fifteenth-century northern Italy, bringing to an end, at least momentarily, the demographic and financial deteriorations the Italian Jewry had faced since 1291.

Strong opposition to Jewish prosperity, however, mounted during the fifteenth century, particularly among the itinerant Observant Franciscans whose anti-Jewish preachings in churches and public squares proclaimed Jewish moneylenders as usurers and enemies of the poor. Franciscan leaders such as Bernardino da Siena (1380-1444), Giacomo della Marca (1391-1476), Giovanni da Capistrano (1386-1456), and Bernardino da Feltre (1439-1494) sought to keep Christians in need of loans away from Jewish moneylenders because lending at interest was a mortal sin, as well as an affront to charity, universal brotherhood, and economic justice. Bernardino da Siena depicted Jewish lenders as bloodsuckers depleting the city and contado (countryside) of its money in his sermon 43 on usury:It is usually the case that when wealth and money are concentrated into fewer and fewer hands and purses, it is a sign of the deteriorating state of the city and the land. This is similar to when the natural warmth of the body abandons the extremities and concentrates only in the heart and the internal organs; this is seen as the clearest indication that life is slipping way and that the person is soon to die. And if this concentration of wealth in the hands of the few is dangerous to the health of the city, it is even more dangerous when this wealth and money is concentrated and gathered into the hands of the Jews. For in that case, the natural warmth of the city—for this is what its wealth represents—is not flowing back to the heart to give it assistance but instead rushes to an abscess in a deadly hemorrhage, since all Jews, especially those who are moneylenders, are the chief enemies of all Christians.

Franciscan sermons, steeped in ecclesiastical law, condemned Christians found eating or drinking with a Jew, visiting a Jewish doctor, bathing in the company of a Jew, socializing with a Jew in their home, helping to raise Jewish children, eating a Jew's unleavened bread, or renting a house to a Jew. The friars, moreover, called for prohibitions on the construction or renovation of Jewish synagogues, and recommended that Jews wear compulsory badges and follow a strict curfew during Holy Week.

Franciscan anti-Jewish sermons influenced civil legislation concerning Jews in several Renaissance cities including Siena, Perugia, Amelia, Orvieto, and Vicenza, where Jews temporarily lost their right to act as moneylenders, were forced to wear a badge to distinguish them from Christians, or received other restrictions that impacted their everyday lives. Diane Owen Hughes writes, "The friars, whose intolerance of the Jews has been traced to their earliest inquisitorial activities, were early promoters in Italy—as elsewhere in Europe—of the segregation of the Jews." Although civic leaders rejected segregation during the fourteenth and fifteenth centuries, the inquisitorial zeal of Observant Franciscans incited popular rioting against the Jews in the city streets throughout northern Italy and elsewhere during this period.

It was under these charged socioeconomic and religious circumstances that the monti di pietà (mons pietatis) flourished in Italy. Established in accordance with the Christian notion of caritas (charity), the monti were charitable credit institutions that issued small loans against pledges of modest value (such as a bedsheet, a belt, or napkins) to the impecunious at a low rate of interest. The monte thus competed directly with Jewish lenders, whom it sought to squeeze out of the credit market. In her study on the Florentine monte, Carol Bresnahan Menning explains, "As brokers of small loans against pawns, Italian monti di pietà were expected not only to replace Jewish moneylenders but also to set up the conditions in which all Jews could be expelled." Dependent upon the largesse of wealthy Christians and fueled by the anti-Jewish sermons of Observant Franciscans, particularly Bernardino da Feltre and Giacomo della Marca, the monti flourished in Umbria, the Marches, the Veneto, Lombardy, Emilia, Tuscany, and beyond, as an estimated twenty institutions were founded in northern Italy between the years 1462 and 1496.

In contrast to the small northern Italian communes and princedoms, the large commercial cities of Florence and Venice did not readily permit the establishment of the monte within city limits for fear of negative repercussions to international trade and regional economic decline. Menning writes that Lorenzo de' Medici went so far as to support publicly the establishment of the Florentine monte to appease the populace but, privately opposing socioeconomic sanctions against the Jews, worked behind the scenes to block its foundation. Although the monte occupied a significant space in the monetary economy of Renaissance North and Central Italy, it had many inherent problems and did not detract considerably from Jewish moneylending, particularly during the fifteenth century. If not economically punitive, the monte did represent a symbolic attack against the privileges and protections promised to the Jews. Such anti-Jewish legislation on the part of the signori illustrates how malleable a political tool the prince's policy on tolerance was, fluctuations in Jewish privileges and prohibitions reflecting strategic acts of statecraft.

Renaissance Italy contrasts significantly from medieval and Renaissance France, England, Spain, and Portugal, which summarily expelled their Jewish populations. In Jewish Life in Renaissance Italy, Robert Bonfil emphasizes the exceptionality of the Italian peninsula in its treatment of Jews, but criticizes the standard interpretation of the Italian Renaissance put forth by historians such as Cecil Roth, Moses Avigdor Shulvass, and Attilio Milano as a period of intense Jewish assimilation to the Christian majority. Bonfil instead argues that Jewish life in Renaissance Italy was neither an example of harmonious assimilation nor the "lachrymose conception" of continuous exploitation, persecution, and expulsion. The lachrymose school, promoted by writers such as Heinrich Graetz, understands Jewish history from the time of the fall of Jerusalem as a valley of tears caused by the constant tragedies encountered by Jews. David Nirenberg writes that this conception "is part an eschatological vision, with each disaster increasing in magnitude until the last and greatest disaster precipitates the coming of the Messiah and redemption."

Rejecting interpretations of Jewish history framed in terms of an oscillation between the lachrymose and antilachrymose schools, Bonfil argues instead in favor of a structural analysis that interprets Jewish life in Renaissance Italy through the dialectic of self and other. He explains that Christians and Jews constructed their identities through mutual interplay; that is, Jews formed their identity by mirroring and opposing the behaviors and attitudes of the Christian community. According to this "specular model," Christians, though marginalizing Jews, tolerated Jewish difference because Jews provided a foil to Christian spiritual and material wealth. This socioreligious phenomenon can be traced as early as the patristic era when Christians recognized Jews as witnesses to Old Testament law and as potential converts. Although this association was not powerful enough to stop popular anti-Jewish outbreaks, "it did afford to the Jewish faith," writes Cary Nederman, "a sort of formal (albeit limited) toleration, the significance of which should not be disparaged." Bonfil's revisionist position objects to the notion of a Jewish Italian Renaissance as a mutual cooperation and acculturation between Jews and their Christian counterparts. Instead, Bonfil historiographically situates himself in opposition to Roth and others who study the openness of Italian Renaissance culture to the exclusion of its censures and enclosures of the Renaissance Jew.

Scholars of medieval minorities similarly have sought more nuanced approaches to the persecution paradigms of European Jewries. David Nirenberg, for example, looks at the relations and negotiations between Jews, Christians, and Muslims in the Crown of Aragon and the French Pyrenees region, especially during the fourteenth century, and investigates the role violence played in the medieval tolerance of minority societies. His examination studies violence not only in its brutal, cataclysmic form but also in its milder, more systemic appearance in everyday dissensions and annual rituals. For instance, Holy Week stonings against Jews can be read as a controlled and ritualized form of violence that served to warn Jews that toleration came at a cost. Nirenberg stresses that such ritualized violence must be situated within its local history: "To treat Holy Week riots as signs or symptoms of a linear march toward intolerance is to deny their character as repeated, controlled, and meaningful rituals, and to ignore the possibility that violence can bind and sunder in the same motion."

The effects of violence and the inextricability of persecution and tolerance are of primary importance to the study of Italian Renaissance court paintings of Jews. Whereas Nirenberg concentrates on corporal attacks against Jews in the form of massacres during the Shepherds' Crusade of 1320 or physical violence against minorities that arose around the quotidian issue of miscegenation, my examination seeks to investigate the role symbolic violence played in Italian toleration policies and the role painting played in the development of Renaissance violence. According to Pierre Bourdieu's writings on precapitalist modes of domination, there are:
two ways (and they prove in the end to be just one way) of getting and keeping a lasting hold over someone . . . overt (physical or economic) violence, or symbolic violence—censored, euphemized, i.e., unrecognizable, socially recognized violence. There is an intelligible relation—not a contraction—between these two forms of violence, which coexist in the same social formation and sometimes in the same relationship.

Previous histories of Jewish tolerance in Renaissance Italy have failed to consider the iconographic import of the demonizing and derisive paintings of Jews adorning ecclesiastical and monastic interiors. Research on Renaissance violence has tended to focus on the most obvious manifestations of violence: crime, civil disorder, war, and economic discord, to the exclusion of more hidden forms. Renaissance images of Jewish punishment represent another dimension of the Renaissance despot's policy on Jews that, although not often documented in written decrees, provide an important contribution to the history of Renaissance violence.

These paintings, commissioned or approved by the despotic ruler, represent the byproduct of artful princely negotiations to safeguard Jews and their credit and commerce from popular aggression, while publicly admonishing and marginalizing Jews so as to protect the social balance. The paintings functioned in a manner similar to the penalties meted out by criminal prosecution. According to the author of the Coustumez, usaigez et stillez . . . ou pais d'Anjou of c. 1440, corporal punishment served four principal functions: as retribution, as a cautionary tale for prospective social deviants, as a means to expunge evil from society, and finally as a means to prevent future evil from spreading through society. Seigniorial sponsorship of Renaissance painting of Jews sought the same communal results, yet without the need for physical violence. Placed in public spaces for Christian consumption, the paintings symbolically punished Jews for their alleged crimes in an attempt to preserve Christian social order. Unlike the ephemeral executions of criminal offenders, the pictorial punishment of Jews in Urbino, Mantua, and Ferrara remained a permanent event in religious painting and in civic consciousness. This book explores the typological structures of these northern Italian paintings of Jewish abuse and demonstrates how violence delineated and reinforced the social relations and religious boundaries between local Christians and Jews. I offer a detailed study of the interactions of tolerance and violence, protection and persecution, in the Italian Renaissance courts by localizing violence within its distinctive political, economic, and cultural cityscape.

To this end, chapter one presents an analysis of the Corpus Domini Altarpiece in Urbino as a visual expression of Duke Federigo da Montefeltro's policy on Jews. I argue that the two parts of the altarpiece, Paolo Uccello's Miracle of the Profaned Host and Joos van Ghent's Communion of the Apostles, portray a symbolic act of cleansing, purging the city of all non-Christians threatening Urbino's civic and spiritual economy. The altarpiece's two panels work together to alleviate visually the Christian community's fear of external threats, specifically the Ottoman Turks, by turning the attention to Urbino's Jews. The painting's message reinforced the duke's political interests by eliminating from the city those religious dissenters hostile to the Christian faith, thus reassuring his subjects of their security and promoting Christian unity through the demonization of Jews.

In chapter two, I turn my attention to fifteenth-century Mantua, where according to textual documentation Marquis Francesco II Gonzaga tolerated and protected the Jews in his territories. Francesco, for example, permitted Jewish moneylenders to carry arms to defend themselves from Christian attack, and during his early marquisate absolved Jews from wearing the compulsory "Jewish badge." This chapter presents a microhistory of the events surrounding an alleged case of image profanation in late fifteenth-century Mantua by the prominent Jewish moneylender Daniele da Norsa, an event that provoked dangerous popular rioting and disorder in the city. Central to my investigation is an analysis of the court proceedings and personal correspondence related to this incident as well as the two quattrocento Mantuan altarpieces associated with the event and its aftermath: the Madonna della Vittoria by Andrea Mantegna and the anonymous Madonna and Child with Saints and Norsa Family (Norsa Madonna). I posit that the production and placement of these two paintings, which permanently imprinted Jewish persecution within the city's collective memory, illustrates the culture of quiet violence in fifteenth-century Mantua.

Among all the despotisms of Renaissance Italy, Ferrara under the House of Este emerged as one of the quintessential safe havens for Jewish immigrants. Not only were Italian and German Jewish communities permitted to settle in Ferrara during the fifteenth century, but Sephardic Jews and New Christians (conversos) after their expulsion from Spain and Portugal also received authorization to settle in the Este dukedom throughout the sixteenth century. Chapter three looks at the rich intertextual sources related to the Jews of Renaissance Ferrara. Extant ducal decrees, court accounting records, chronicles, and letters indicate that Jews, though tolerated via princely proclamation, maintained a tenuous existence in Ferrara. For instance, after the 1457 construction of Santa Maria degli Angeli Borso d'Este, ruler of Ferrara from 1450 to 1471, fined the Ferrarese Jewish community the tremendous sum of 35,000 ducats in order to finance his project to pave and line the via degli Angeli with poplar trees. Pictorial sources furthermore illustrate how painting and anti-Jewish policies and politics came together in Renaissance Ferrara. Stephen Campbell in his study on Cosmè Tura analyzes the Roverella altarpiece (c. 1474) as symbolically representative of an anti-Jewish polemic circulating in Renaissance Ferrara. Works of art executed by other local artists share similar anti-Jewish ideologies, such as Benvenuto da Garofalo's 1523 fresco of The Crucifix with Ecclesia and Synagoga for the Augustinian convent of Sant'Andrea. This chapter examines the multiple receptions of Garofalo's painting among Ferrara's ducal, communal, and Augustinian leaders to understand the social ramifications of the prince's call for tolleranza.

If the case studies of Urbino, Mantua, and Ferrara examined images of Jewish abuse within a common sociopolitical and cultural framework, the final two chapters investigate the connection between Jewish punishment and symbolic violence in neighboring yet distinctive environments: the republic of Florence and the imperial principality of Trent. Such a discussion allows me to examine the politico-aesthetic dimensions of Jewish-Christian relations in different forms of Renaissance governance, underscoring the unique conditions for Jews in the Italian principates. In chapter four I investigate the details surrounding the popular stoning of a Jew in Florence found guilty in 1493 of desecrating several representations of the Virgin, most notably the sculpture of the Madonna of the Rose at Orsanmichele. Although the committee of magistrates from the Florentine Otto di Guardia e Balìa sentenced the Jew to death, a popular mob disrupted civil proceedings and collectively killed and dismembered the accused. The event remained permanent in civic memory when an inscription telling the story was added to the Madonna of the Rose. My analysis of the event and, more specifically, of the visual imagery related to the narrative explores how such an act of popular violence both threatened and reaffirmed republican identity in Renaissance Florence.

While the violence against the Jew in Florence was popular and public, it nevertheless was directed at one specific Jew charged with blasphemy. Chapter five examines Renaissance Trent, where the violence against Jews was widespread, calling for the complete purgation of the Jewish community. Trent was an imperial principality in the southern Tirol, the southernmost territory of the Holy Roman Empire, where "Trent lay at the crossroads between the Germanic and Italian worlds." It is in this infamous city where accusations of ritual murder against the Jews of Trent were lodged. Found guilty in 1475, Jews were burnt at the stake for allegedly killing the young Christian boy Simon Unferdorben in order to use his blood in the preparation of the Jews' Passover celebrations. This chapter examines the varying typologies governing the representations of the alleged ritual murder. Images of Simon are found not only in Trent proper but also pepper the countryside of the Tridentine and Valcamonica regions. Whereas examples of pictorial persecution against local Jews in Urbino, Mantua, Ferrara, and Florence are notable but few, images representing the blood libel of Simon proliferate throughout North Italy, as paintings decorate the parish churches of Cerveno, Niardo, Malegno, Borno, Breno, Bienno, Iseo, Esine, Artogne, Pian Camuno, Pisogne, Rovato, Dimaro, Cavareno, Povo, and Avio. It is the aim of the chapter to analyze how these paintings created a collective Christian social body in the bilingual city of Trent, and how the extensive production of such imagery redefined the local history of North Italy.

Renaissance paintings have significant heuristic value to Jewish historiography as integral components of the sociopolitical and religious infrastructure of Renaissance Italy. Such paintings functioned as a mechanism of social distinction that legitimized and universalized Christian powers in general and princely authority in particular. A balanced examination of the surviving visual and verbal documentation pertaining to Renaissance Jews demonstrates how persecution and toleration politics conjoined in Italian Renaissance art and the Italian Renaissance city.

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