Sabtu, 31 Oktober 2015

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Thomas Eakins and the Uses of History, by Akela Reason

Thomas Eakins (1844-1916) was one of America's foremost painters and a highly respected sculptor, photographer, and fine arts teacher. He is often celebrated for his realist depictions of contemporary life in late nineteenth-century Philadelphia. Yet, in addition to his iconic paintings of rowers, doctors, and wrestlers, he completed a number of works that reflected his deep and abiding interest in the historical past. Thomas Eakins and the Uses of History is the first book to examine the artist's lifelong fascination with historical themes. Akela Reason delves deeply into unpublished letters, diaries of friends and contemporaries, and period newspapers to offer new insights into this aspect of the artist's career.

Probing the complex motivations behind his choice of historical subjects, Reason argues that Eakins used these images to express his most deeply held professional aspirations, most notably his self-conscious desire to measure himself against master artists of the distant past. The author begins with Eakins's first foray into historical painting at the time of Philadelphia's Centennial Fair of 1876, when he conceived William Rush Carving His Allegorical Figure of the Schuylkill River. A careful analysis of his historical images reveals how Eakins's acute awareness of the historical tradition influenced his teaching and shaped his artistic career. Indeed, his insistent placement of the historical works in major exhibitions alongside his better-known realist paintings reveals his desire to carve out a place within this tradition. The artist not only considered these works important to his career; he sometimes suggested that they were among his best. Eakins's partiality for these historical images makes clear that he envisioned his artistic legacy in terms different from those by which modern art historians have typically defined his art.

  • Sales Rank: #2724351 in Books
  • Brand: Brand: University of Pennsylvania Press
  • Published on: 2010-04-01
  • Original language: English
  • Number of items: 1
  • Dimensions: 10.00" h x .80" w x 7.20" l, 1.80 pounds
  • Binding: Hardcover
  • 232 pages
Features
  • Used Book in Good Condition

About the Author
Akela Reason teaches art history at Georgia State University.

Excerpt. © Reprinted by permission. All rights reserved.

Introduction

"The value of these works is permanent. They have nothing to do with passing or evanescent Art moods. They are outside of fad or fashion".—Cecilia Beaux

Cecilia Beaux (1855-1942) drafted this appreciation of the work of fellow Philadelphia artist Thomas Eakins on the occasion of the memorial exhibition held in his honor at the Metropolitan Museum of Art in 1917. Although Beaux had studied at the Pennsylvania Academy of the Fine Arts while Eakins was teaching there, she claimed to have avoided his "magic circle" of student devotees, preferring to watch him "from behind staircases, and corners." Beaux respected Eakins's realist work and yet found it "deeply alien" to her own temperament. Indeed, the two artists had completely different careers. Beaux, hailed in her day as the "greatest living woman painter," became a successful portraitist particularly sought after for her elegant depictions of society women. Eakins was a portraitist too, but he had far fewer commissions and a number of dissatisfied sitters. Yet Beaux understood that Eakins's failings as an artist, marked by his lack of financial and sometimes critical success, were the products of a man who sought to become what he called a "big painter," an artist who transcended "evanescent Art moods" in order to establish a permanent legacy.

Unlike many of his peers, Eakins never painted to earn a living. He did not come from wealth but had an unusually supportive father in Benjamin Eakins, who encouraged his only surviving son to become a painter. Benjamin made Eakins's career possible by supplementing his son's meager income and providing him with room and board. Eakins lived in his father's house for most of his adult life and remained there after his father's death in 1899. Benjamin funded Eakins's artistic education in France at the Ecole des Beaux-Arts between 1866 and 1870. He subsidized Eakins's unpaid teaching posts at the Philadelphia Sketch Club and the Pennsylvania Academy and was no doubt proud when his son eventually became the director of the Academy's schools in 1882.

With Benjamin's support, there was no need for Eakins to paint within the confines of "fad or fashion." This circumstance, coupled with what Beaux called his "integrity of purpose," sent Eakins in artistic directions that few others pursued. He painted scenes from contemporary life: doctors performing surgery, men rowing on the Schuylkill River, baseball players, and the like. He painted these not only because they were part of his world but also because he believed that all great artists depicted their own time. And it is these images that most resonate with today's viewers. However, Eakins also painted and sculpted historical subjects throughout his life. The focus of these images on the past has frequently set them apart in larger evaluations of his career. As a result, these projects have often been viewed as anomalous episodes in an otherwise realist career, but they constitute a crucial aspect of Eakins's worldview as an artist. If great artists depicted their own time, they also took on epic themes that linked them to their predecessors.

Since his death, Eakins has become an American Old Master largely because of realist images such as The Gross Clinic, which depicts the Philadelphia physician Samuel D. Gross surgically removing a piece of dead bone from a young patient's leg. Indeed, when Jefferson Medical College controversially decided to sell the painting in 2006, Earl A. Powell III, director of the National Gallery in Washington, D.C., termed it "America's Night Watch"—referring to Rembrandt's well-known masterpiece in the Rijksmuseum. Although Eakins's contemporaries acknowledged the power of the painting, they also found it disturbing. However, Eakins valued his historical images as much as, if not more than, the portraits and contemporary genre pictures that we admire him for today. For example, in 1900, when Eakins wrote to John W. Beatty of Pittsburgh's Carnegie Institute that he intended to send his "best painting" to the institute's upcoming exhibition, he referred to Crucifixion (1880), his largest history painting and the only overtly religious work that he ever completed. Modern observers might find Crucifixion an unusual choice for "best painting" in a career so devoted to realism, but Eakins created this painting with the same ambition with which he painted The Gross Clinic.

Eakins painted both The Gross Clinic and Crucifixion without the certainty of any financial reward, as he had not received a commission for either of these large pictures. However, in the case of The Gross Clinic, Eakins clearly hoped that his daring and monumental image would appeal to Jefferson Medical College and that it also might bring him patrons appropriately desirous of such ambitious work. In this case, Eakins was able to find a home for the painting when the alumni association of Jefferson Medical College raised a meager two hundred dollars for its purchase a few years after its completion. Crucifixion was quite a different matter. In spite of the religious subject, Crucifixion is no church altarpiece. In fact, Protestant and Catholic viewers alike could find reason to object to Eakins's audacious reinvention of the centuries-old iconography. Many critics found the work as displeasing as The Gross Clinic for its representation of a realist Jesus, with clawlike hands, dirty feet, and caked-on blood. Eakins sent the work to numerous exhibitions conscious that it did not meet contemporary expectations for religious art. The painting never sold and often encountered negative press, yet Eakins maintained that it was his best work. Crucifixion, like many of his historical works, allowed Eakins to engage in a dialogue with the art historical past, and he hoped that it would one day be recognized as his masterpiece.

This book explores Eakins's complex reasons for choosing historical themes. More specifically, it proposes that he used these subjects to advance some of his most deeply held professional aspirations. Historical subjects were part of what he called "big painting"—timeless works that engaged with the art historical tradition. Through these works, it is possible to see how his consciousness of the art historical tradition influenced his teaching as well as guided the trajectory of his career. With respect to this tradition, he felt that a core set of artistic beliefs bound all great artists together—past, present, and future. Eakins's insistent placement of the historical works in major exhibitions alongside his powerful images of doctors and rowers reflects his desire to carve out a place within this tradition. Moreover, his partiality for these historical images makes clear that he envisioned his artistic legacy in different terms than those by which twentieth-century art historians have typically defined his art.

In keeping with his historical subject choices, Eakins developed a meticulous working method rooted in some of the oldest recorded artistic practices. For example, at a time when many of his peers were achieving success with bravura brushwork, he crafted tightly composed images that often built on a perspectival grid worthy of a Renaissance master. His technique was the result of many years of study. However, he would only realize the importance of such time-honored methods when he traveled to Paris to study at the Ecole des Beaux-Arts. It was there that Eakins began to feel the depths of the tradition that had shaped the artistic profession for centuries. In Europe, he came to appreciate the work of the Old Masters and began to focus on producing the best work that he could "outside of fad or fashion." But he would not rely exclusively on tried and true artistic practices; he sought to integrate modern ideas into both his technique and his teaching—notably through the use of photography. Eakins felt that these innovations were critical to the continuing development of the art historical tradition into the modern age.

The following chapters examine how Eakins explored historical subject matter throughout every decade of his career in order to present his beliefs about his profession and his relationship to the art historical past. These subjects engage with the past in myriad ways, and my use of the term history will necessarily be fluid. As Randall Griffin has proposed, even in historical images "Eakins deliberately confronted the popular view that American themes were provincial and less interesting than foreign ones." As a consequence of this overarching belief in American subjects and in order to better integrate the historical subjects into Eakins's career, this study will include images of contemporary themes that relate to his historical works. Eakins's historical projects, like most of his works, are starkly different from those of his American contemporaries. The themes he chose were frequently obscure, sometimes requiring explanation. His method could seem at odds with his subject matter, as in the case of his Arcadian images, which are Greek in subject but almost anticlassical in style. Even when he chose a familiar theme like the Crucifixion, he created such an unusual composition that it sparked a great deal of criticism and debate in its own time and remains a bit of an enigma today.

This volume begins with Eakins's first fully realized history painting, William Rush Carving His Allegorical Figure of the Schuylkill River. When Eakins began the painting in 1875, he was primarily known for his contemporary genre scenes and for his portraits. Although admired for these works today, critics in the 1870s often regarded Eakins's attraction to these contemporary subjects as eccentric. Such critics typically acknowledged Eakins's tremendous ability as a draftsman but hoped someday to see his talent put to "better use." Eakins attempted to meet this challenge with William Rush, a complex work that is equal parts portrait, genre, and history painting. The painting also boldly elaborates upon well-established European art historical precedents. Initiated as he was completing the Rembrandtian Gross Clinic, this image reflects upon the career of one of the first native-born sculptors in America, an American Old Master, in the days before anyone knew that such a person could exist. Eakins's reasons for focusing on Rush have to do with the understanding of art history that Eakins developed as an art student in Paris. In the painting, Eakins defined sculpture as the pinnacle of the arts and boldly elevated an American sculptor to a position of distinction within the medium. Eakins developed the idea for this picture as the notion of an American art history was just coalescing. In addition, he addressed the position of the model within the Western tradition, particularly the associations, dating back to antiquity, of immorality with the female models who posed for sculptors. By referring to an American past, a classical past, and his own time, Eakins suggested a new role for the female nude model—recasting her as a noble and virtuous woman.

Continuing into the 1880s, Eakins used the colonial past to reconsider the position of the burgeoning group of female students attending his classes at the Pennsylvania Academy in a series of works that feature women knitting, spinning, and sewing in old-fashioned dress. Eakins's advocacy of women in the arts was marred by a deeper ambivalence about their capabilities. In his depictions of colonial women, Eakins tapped into contemporary theories regarding nervous exhaustion among educated women by glorifying a simpler past when robust women engaged in traditional women's work. His colonial images gradually evolved into classical ones. With slight modifications of costume and setting, he soon became immersed in a fully classical idiom.

Eakins's classicizing Arcadian subjects reflect a new approach to teaching that he began to explore at the Pennsylvania Academy in the mid-1880s. He derived his new method from the writings of the little-known French artist Horace Lecoq de Boisbaudran. Lecoq achieved notoriety for the innovative curriculum he developed for the Ecole Gratuite de Dessin in Paris. While his system emphasized the cultivation of memory in budding young artists, it was also rooted in the classical tradition. Lecoq's students studied models in classical attire in interiors and completely nude out-of-doors. Beginning around 1882, Eakins also began dressing models in classical costume and studying nude bodies outdoors. Eakins presented his adaptation of Lecoq's ideas to the Academy when he painted Swimming, a contemporary genre scene that evokes classical subjects, for one of its directors in 1885. Shortly thereafter, Eakins's experiment was curtailed by his forced resignation from his teaching position at the Academy in 1886.

As Elizabeth Milroy has shown, Eakins painted Crucifixion in 1880 as a demonstration of his skill as a mature professional artist. Eakins took this staple of Old Master painting and crafted a new iconography, which he based on liberal religious texts that presented Jesus as a historical figure. Eakins's image depicts a human Jesus, stripped of his divinity, enduring physical torment on the cross. Eakins's modern Jesus created a stir among critics, garnering him more attention in the press—both positive and negative—than he had ever before received for any of his works. In the year after his dismissal from the Academy, Eakins may have invested the painting with a poignant new meaning as he came to identify with Jesus and used the work as a symbol of his own martyrdom. Shortly thereafter, Eakins continued to assert the value of the painting as his best work by placing it almost exclusively in international venues, where it could be seen in the context of a broader art historical tradition.

Eakins's most ambitious and public venture into historical terrain came in the 1890s with his work on two large Beaux-Arts sculpture projects: the Trenton Battle Monument and the Brooklyn's Soldiers and Sailors Memorial in Grand Army Plaza. Although little known today, Eakins hoped that his public sculptures would become the crowning accomplishments of his career. In these works, Eakins reasserted the beliefs that he had outlined two decades earlier in his painting of William Rush, namely, that sculpture was the most difficult, and therefore the most significant, achievement any artist could master. Eakins labored over these sculptures in an effort to endow them with the strength of classical art. Unfortunately, Eakins's fastidious technique brought him into conflict with his patrons and effectively severed his ties with those who might have helped him gain additional sculpture commissions.

In spite of such disappointments, sculpture remained on Eakins's mind, and around 1908 he returned again to the theme of William Rush carving his allegorical figure of the Schuylkill River. By this point, Eakins's critical reception had begun to change, with many of the works that had formerly faced negative reviews now hailed as masterpieces. In this period, critics even began to compare Eakins to the Old Masters. Eakins revisited Rush from this new vantage point. In an unprecedentedly large number of sketches and unfinished compositions, Eakins reworked the Rush subject, concluding it with an image in which he made the Federal sculptor, an American Old Master, resemble himself.

The arrangement of the chapters is roughly chronological; however, because I am interested in the reception of the images and consider the exhibition history of these works critical to their meaning, I have not strictly adhered to placing works within the book according to their date of execution. The most significant deviation is seen in the third and fourth chapters, which are reversed in terms of creation dates. Because I see the Arcadian works as important to understanding the beliefs that led to Eakins's departure from the Academy in 1886, I felt it useful to discuss these works before Crucifixion. In addition, because Crucifixion remained important to Eakins after his 1886 resignation, I view that work as crucial to his effort to restore his reputation in subsequent decades. Therefore it seems appropriate to situate this work after the Arcadian themes and Swimming, which remained little known and unexhibited after 1886.

Although I have framed the chapters as case studies of individual iconographic themes, I see these works as forming a cohesive project through which Eakins ruminated upon his profession and his place within the art historical tradition. Far from aberrations, these works were of great importance to Eakins and central to his artistic development. While he may have attained his Old Master status through paintings like The Gross Clinic, he envisioned his legacy differently. The historical images reflect Eakins's preoccupation with creating a permanent legacy apart from "evanescent Art moods." In this way, Eakins crafted his backward-looking historical works with an eye to the future.

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Senin, 26 Oktober 2015

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Contained along with the complete text of Shakespeare's classic tragedy about the two star-crossed lovers from Verona is full explanatory notes, scene-by-scene plot summaries, a key to famous lines and phrases, and illustrations from the Folger Shakespeare Library's vast holdings of rare books. Reissue. (Plays / Drama)

  • Sales Rank: #330206 in Books
  • Brand: Brand: Perfection Learning
  • Published on: 2004-01-01
  • Original language: English
  • Number of items: 1
  • Dimensions: 6.94" h x 1.07" w x 4.06" l, .44 pounds
  • Binding: Library Binding
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About the Author
William Shakespeare was born in April 1564 in the town of Stratford-upon-Avon, on England s Avon River. When he was eighteen, he married Anne Hathaway. The couple had three children an older daughter Susanna and twins, Judith and Hamnet. Hamnet, Shakespeare s only son, died in childhood. The bulk of Shakespeare s working life was spent in the theater world of London, where he established himself professionally by the early 1590s. He enjoyed success not only as a playwright and poet, but also as an actor and shareholder in an acting company. Although some think that sometime between 1610 and 1613 Shakespeare retired from the theater and returned home to Stratford, where he died in 1616, others believe that he may have continued to work in London until close to his death.

Paul Werstine is Professor of English at the Graduate School and at King s University College at Western University. He is a general editor of the New Variorum Shakespeare and author of "Early Modern Playhouse Manuscripts and the Editing of Shakespeare" and of many papers and articles on the printing and editing of Shakespeare s plays.

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Founded in 1812, the Academy of Natural Sciences of Philadelphia stands today as the oldest natural history museum in the Western hemisphere. Early expeditions organized at the Academy were of central importance to the exploration of America's western wilderness, and the plant and animal specimens that were brought back formed the foundation of a collection that today contains some eighteen million items. What began as a small gathering of devoted amateurs has grown into a vibrant international center for scientific education and research.

A Glorious Enterprise, the first complete history of the Academy, tells the story of the brilliant and passionate men and women who endeavored to acquire and disseminate knowledge of the natural world. Thomas Jefferson, John James Audubon, Robert Peary, Ernest Hemingway, and James Bond are just a few of the colorful Academy associates profiled in this lively narrative. Naturalist and historian Robert McCracken Peck and historical biographer Patricia Tyson Stroud take readers behind the scenes of the Academy, recounting the signal moments and achievements that shaped its first two hundred years—from its landmark discoveries in North America and around the world, through the construction of its famed dioramas in the 1930s, to the pioneering work of Academy scientists in water pollution and conservation long before these were topics of popular concern. The book is richly illustrated throughout with hundreds of archival images and stunningly original works by acclaimed photographer Rosamond Purcell that cast specimens from the Academy's collections in a new light.

Like Academy members on a quest for wondrous specimens, lovers of the sciences, American history, museums, and libraries will want to add A Glorious Enterprise to their collections. Filled with lively anecdotes, captivating biographical details, and fascinating facts, this beautiful and enlightening history will be treasured for years to come.

  • Sales Rank: #654919 in Books
  • Brand: Peck, Robert McCracken/ Stroud, Patricia Tyson/ Purcell, Rosamond Wolff (PHT)
  • Published on: 2012-02-28
  • Original language: English
  • Number of items: 1
  • Dimensions: 12.20" h x 1.80" w x 9.80" l, 6.92 pounds
  • Binding: Hardcover
  • 464 pages

Review

"A book to remember. . . . To wander through A Glorious Enterprise is to absorb the nineteenth century's passion for botany and zoology; the twentieth century's mania for exploration of distant, difficult or desolate places; and present-day preoccupations. . . . All of these tales are fascinating, but the book's true fascination comes in its color photographs and illustrations, scores of them."—Cornelia Dean, New York Times



"A handsome volume that should be in all serious collections on the history of the natural sciences."—Library Journal



"To leaf through A Glorious Enterprise is to see history unfold. Two hundred years in the making, this beautiful book is a paean to the Western Hemisphere's oldest natural history museum—the Academy of Natural Sciences of Philadelphia—and the passionate men and women who shaped its reputation. Like a sophisticated cabinet of curiosities, the tome brims with treasures illustrating the museum's 18-million-piece collection."—Audubon



"A fascinating history, lavishly illustrated, of the Academy of Natural Sciences of Philadelphia, America's earliest scientific institution. The book's eighteen chapters offer not a single narrative, but a set of panels in which are figured episodes and topics that carry us from the beginning of the nineteenth century up to the present. For those who do not already know the Academy, A Glorious Enterprise should prompt a visit to the displays and library of this extraordinary home of scientific research."—Charles Gillispie, Professor Emeritus of the History of Science, Princeton University



"Magnificent in both its scope and its ambitious physicality, A Glorious Enterprise is a fascinating miniature museum in and of itself, exploring the cultural history of natural history with equal parts rigor and romanticism—the hallmark of great science."—Maria Popova, Brain Pickings

About the Author
Robert McCracken Peck is Senior Fellow and Curator of Art and Artifacts at the Academy of Natural Sciences. He is the author of numerous books and articles, including Land of the Eagle: A Natural History of North America, A Celebration of Birds: The Life and Art of Louis Agassiz Fuertes, Headhunters and Hummingbirds: An Expedition into Ecuador, and All in the Bones: A Biography of Benjamin Waterhouse Hawkins (with Valerie Bramwell). Patricia Tyson Stroud is an independent scholar who lives in Wayne, Pennsylvania, and East Blue Hill, Maine. She is the author of the award-winning books The Emperor of Nature: Charles-Lucien Bonaparte and His World and The Man Who Had Been King: The American Exile of Napoleon's Brother Joseph as well as Thomas Say: New World Naturalist, all published by the University of Pennsylvania Press. Rosamond Purcell has exhibited internationally, and her work has been featured in Smithsonian, National Geographic, and Slate. Her books include Swift as a Shadow: Extinction and Endangered Animals, Owls Head: On the Nature of Lost Things, and Illuminations: A Bestiary (with Stephen Jay Gould).

Excerpt. © Reprinted by permission. All rights reserved.

Preface

A Glorious Enterprise is a book about the extraordinary people who conceived, built, and continue to shape America's oldest continuously operating natural history museum. The title might also describe the creation of the book itself, for this has been a project many years in the making and has allowed its authors an opportunity to explore one of the world's great centers for scientific research.

Surprisingly, except for a short, anecdotal account published at the time of the Academy's centennial and a smattering of articles and book chapters written over time, there has never been a formal history of the venerable institution where so many fields of natural science were given their start in America. The challenge and opportunity to tell such a story was at once daunting and exhilarating.

The history of the world, wrote Thomas Carlyle, is but the biography of great men. The same can be said for an institution. During its two centuries of growth, the Academy of Natural Sciences has had more than its share of brilliant, quirky, courageous, genial (and not so genial), heroic, funny, insightful, and generally intriguing characters at its core. Collectively, these men and women have pioneered the study of natural science in America, amassed some eighteen million specimens, and created one of the greatest natural history libraries in the world. In pursuing their individual and collective passions, they have explored the planet, risked life and limb, and shared their findings with countless millions of people. This is the story we tell.

Having coedited four exhibition catalogues and the Academy's members' magazine Frontiers from 1979 to 1982, we felt that our research and writing styles were sufficiently complementary to work together as coauthors of this book. Our independent publications, including nine biographies and dozens of articles on people associated with the Academy or natural history in America, gave us a working background for the history we had long wanted to write. The Academy's bicentennial seemed the ideal occasion to produce a comprehensive history—not only for internal use, but to share with the world at large. So, with the blessing of the Academy's administration, we commenced the active work of gathering information and structuring our narrative.

While many authors come to their subjects late, we have known the Academy from the inside out for almost one-sixth of its existence. For much of that time we have been active participants in one part or another of its many-faceted operations. This firsthand experience helped us appreciate and interpret the copious amount of information we gleaned from the Academy's archives and from the living memories of the members, volunteers, and staff who generously shared their stories for this project. All were essential in writing this book.

We divided the chapters evenly, allowing each of us to pursue in depth particular themes, time periods, and personalities. As each chapter took shape, we exchanged our drafts, working closely to flesh out and refine them in ways that would ensure their accuracy and interest. We wanted each chapter to be able to stand alone but also fit well with the others in advancing the story as a whole. After our drafts were refined and polished, we sent them to internal and external experts for vetting before submitting them to the University of Pennsylvania Press for a professional peer review.

The book is comprehensive but by no means exhaustive. Many people whose contributions to the Academy and to science were as significant as those we included, for one reason or another did not make it into the pages of A Glorious Enterprise. For some, we simply couldn't find enough information about them. For others, we decided that their stories were too similar to ones we were telling elsewhere. In all cases, we focused on people who we believe best exemplify the spirit of the Academy and the times in which they lived. Sometimes, in lieu of full coverage, we augmented our narrative with notes that give depth and breadth to the story. Names, dates, and explanations that did not fit naturally into the text, but that we considered too important to omit, found their way into the notes. Similarly, we relegated some of our research—the names of presidents, trustees, and Academy medalists—to the back of the book. We also included a time line that provides a quick overview of the events
described in more detail in the text.

To give the book a strong visual dimension, we combined historical photographs and other illustrations from the Academy's archives and library and other sources with contemporary photographs that capture the scope of the Academy's remarkable collections. For this, we were fortunate to secure the enthusiastic participation of Rosamond Purcell, whose three decades of work in natural history collections around the world has established her as the dean of natural-object, natural-light photographers. During three weeklong visits, she applied her unique vision to hundreds of specimens drawn from every part of the museum, creating masterful images that both record the subjects as they are and suggest the many layers of interpretation that they have and will continue to receive. In addition to featuring her photographs within the chapters, we have used the pages between chapters to highlight others that offer unexpected views of selected items from the Academy's collections.

We hope that A Glorious Enterprise will serve as a balanced and accurate beginning on which future historians will continue to build as the Academy flourishes in its third century and in its new affiliation with Drexel University. It would not have been possible to write it without a great deal of help from many, many people. While we reserve our detailed acknowledgments for that section of the book, we want to recognize three individuals here.

Eileen Mathias, reference librarian of the Academy, shared much useful information, based on her many years of work at the Academy. More important, she served as our illustration guru, scanning, labeling, and organizing the more than three hundred images we culled from the archives for reproduction in this book. There is no doubt that without her countless hours of hard work, this publication would be far less glorious than it is.

Clare Flemming, the Brooke Dolan Archivist of the Academy, was always cheerful and professional in her responses to our endless requests, which made working in the archives as productive as it was pleasant. To Clare and all of the Academy archivists and librarians who amassed and organized the Academy's irreplaceable records over the years, we are extremely grateful.

Finally, we wish to acknowledge the generous patron who made publishing this book possible. The intellectual, emotional, and financial support provided by Robert L. McNeil Jr. was critical to the book's existence. We had hoped to share with him the first copy of A Glorious Enterprise. Instead we can only thank him for the confidence he put in us and hope that the book we have written—the last of many he supported during his philanthropic life—is one he would have enjoyed. Bob felt strongly that an institution with as long and distinguished a history as the Academy of Natural Sciences deserves a book worthy of its accomplishments. We have tried our best to create such a book.

Most helpful customer reviews

3 of 3 people found the following review helpful.
Book Review - A Glorious Enterprise
By The Alternative
This beautifully constructed non-fiction work tells the complete story of The Academy of Natural Sciences of Philadelphia through some of the most stunning articles, photographs and paintings ever assembled. There is something new and fascinating to learn on every page. With stories about the founders, contributors (Lewis and Clark's collection is a stand out), and the millions of collected and contributed natural science pieces A Glorious Enterprise is sure to please everyone fortunate enough to open its cover. From start to finish this book is entertaining and educational and a "must have" for anyone even slightly interested in the natural sciences.

2 of 2 people found the following review helpful.
A magnificent work
By A. mack
This book is packed with useful information for anyone interested in the history of science, natural history, biology, ecology... Also for anyone interested in Philadelphia or American history, as the Academy's story begins in 1812. I think anyone with an interest in biology, museums, history and conservation will find new and relevant material here. The Academy has been quietly in the background playing a significant role in biology for a long time. For example the catalytic role Ruth Patrick played in the development of what we now call environmental sciences. Anyone who wonders what the value of museum collections is should be given a copy of this book. A lot goes on in the background and this book helps bring it to light.

The book is well written and engaging, but admittedly I already have an interest in the Academy. The photographs and illustrations are abundant and excellent and show a lot of effort and forethought. Combined with the text there is something of interest for any inquiring mind. This is not just an academic text for scholars, as one might expect from a university press.

Given the size and quality of the book and the number of excellent color images, the list price is a bargain.

0 of 0 people found the following review helpful.
Five Stars
By Aitkenhead
Gave it as a gift! It was well received !

See all 4 customer reviews...

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A Common Justice: The Legal Allegiances of Christians and Jews Under Early Islam (Divinations: Rereading Late Ancient Religion), by Uriel

In A Common Justice Uriel I. Simonsohn examines the legislative response of Christian and Jewish religious elites to the problem posed by the appeal of their coreligionists to judicial authorities outside their communities. Focusing on the late seventh to early eleventh centuries in the region between Iraq in the east and present-day Tunisia in the west, Simonsohn explores the multiplicity of judicial systems that coexisted under early Islam to reveal a complex array of social obligations that connected individuals across confessional boundaries. By examining the incentives for appeal to external judicial institutions on the one hand and the response of minority confessional elites on the other, the study fundamentally alters our conception of the social history of the Near East in the early Islamic period.

Contrary to the prevalent scholarly notion of a rigid social setting strictly demarcated along confessional lines, Simonsohn's comparative study of Christian and Jewish legal behavior under early Muslim rule exposes a considerable degree of fluidity across communal boundaries. This seeming disregard for religious affiliations threatened to undermine the position of traditional religious elites; in response, they acted vigorously to reinforce communal boundaries, censuring recourse to external judicial institutions and even threatening transgressors with excommunication.

  • Sales Rank: #3406516 in Books
  • Published on: 2011-09-07
  • Original language: English
  • Number of items: 1
  • Dimensions: 9.10" h x 1.10" w x 6.10" l, 1.35 pounds
  • Binding: Hardcover
  • 320 pages

Review

"An important and much-needed contribution to ongoing debates about minorities in the Middle Ages and about minorities under Islam as well as their relative freedoms and disabilities. The book is built on solid research and an impressive mastery of a wide variety of source materials in numerous languages. The arguments it puts forward are entirely convincing and have the potential to help move forward a remarkably stubborn and ideologically laden historiographic consensus."—Marina Rustow, Johns Hopkins University



"A complex and detailed picture of judicial attitudes and practices of the Christian and Jewish leaderships and communities under Muslim rule in the early Islamic period, throwing light on the lives of these communities from a particularly interesting point of view. The presentation of the ample evidence, as well as the discussion, is clear and coherent and the conclusions are convincing and thought-provoking."—The Medieval Review



"This is a very welcome book. It offers a theoretically informed and up-to-date analysis of the workings of social power within communities that lived side by side, even if they are said to have lived separate lives."—Arietta Papaconstantinou, Université Paris I

About the Author
Uriel I. Simonsohn is an affiliate of the Martin Buber Society of Fellows at the Hebrew University of Jerusalem.

Excerpt. © Reprinted by permission. All rights reserved.

Introduction

The fragmentary remains of Christian and Jewish legal documents composed in the Eastern Mediterranean in the first five hundred years of Islamic rule reveal that Christian and Jewish religious elites were preoccupied with the fact that their coreligionists were taking legal cases outside the community for litigation in what appear to have been primarily Islamic courts. This book examines the legislative response of Christian and Jewish religious elites to the problem posed by the appeal of their coreligionists to extraconfessional judicial institutions. Focusing on the late seventh through the early eleventh century in the region between Mesopotamia in the east and North Africa in the west, the study explores the multiplicity of judicial institutions that coexisted under early Islamic rule as part of the complex array of social obligations that bound individuals across confessional boundaries. Contrary to the notion of a non-Muslim autonomous existence in a rigid social setting, strictly demarcated along confessional lines, a comparative study of Christian and Jewish legal behavior under Islamic rule exposes a considerable degree of fluidity across communal boundaries. Such transcendence of religious affiliation threatened to undermine the position of traditional religious elites. In response, these elites acted vigorously to reinforce communal boundaries, censuring recourse to external judicial authorities and threatening transgressors with excommunication.

Maintaining judicial power as a means of sustaining social power and religious boundaries was of great importance for Christian and Jewish elites even prior to Islamic rule. The sages of the Mishnah (the tannaim) as well as the early church fathers had been preoccupied with similar, if not exactly the same, concerns. In early rabbinic Judaism, the discussion dealing with appeal to Gentile courts ('arkha'ot shel goyim) reflects an ambiguous approach. Despite their general opposition, the early rabbis permitted recourse to non-Jewish courts for purposes of issuing evidentiary documents, such as deeds of sale and loan, and for coercing recalcitrant litigants to obey the decisions of Jewish courts. Yet while the early Christian position appears to have been much firmer in its objection to the use of non ecclesiastical courts, its exact meaning as to the identity of these courts remains unclear. Early Christian sources use a variety of expressions when referring to non ecclesiastical courts and judges, such as "secular," "outsiders," and "nonbelievers." In general, the early church fathers argued, litigation should be avoided; yet if inevitable, it should be pursued only before the holy ones, the appointed bishops.

It is therefore evident that the rise of Islam and its subsequent rule did not trigger Christian and Jewish judicial preoccupations. The reliance of non-Muslim confessional leaders on legal principles formulated in the pre-Islamic period and their resort to some of the rhetorical motifs that had already been employed by their predecessors attest to the endurance of these concerns. Nonetheless, the frequency of references made by non-Muslim leaders to the problem of recourse to extra-confessional judicial institutions as well as the high tones in which they often expressed their objections in the period following the Islamic conquest suggests not merely a continuity but also an intensification in their concerns.

The East Syrian and West Syrian Churches under Early Islamic Rule

Two Eastern Christian churches are at the center of this study: the East Syrian (so-called Nestorian) and West Syrian (Jacobite or Syrian Orthodox) Churches. The history of these churches and their parallel formation should be traced back to the Christological disagreements of the fifth century. The theological controversies on the subject of the human and divine natures of Christ dominated the ecumenical councils of Ephesus (A.D. 431) and Chalcedon (A.D. 451). It was in these controversies that the formation of the East Syrian and West Syrian Churches was conceived. The council of Ephesus saw the climax of the controversy between the Dyophysites, who adhered to the doctrine of two natures in Christ; and the Miaphysites, those in the Roman Empire who opposed this interpretation and argued for a single nature.

Twenty years later, at Chalcedon, a failed attempt to reconcile Miaphysite factions resulted in a second blow to Roman aspirations for ecclesiastical unity. By now, the adherents of a Miaphysite Christology had begun to adopt sectarian features. These developments eventually gave rise to the formation of local Miaphysite churches, a process that reached its climax in the sixth century, following the policies of hostile emperors—most notably, those of Justinian (r. 527-65). It is within this history of doctrinal divisions that we should locate the origins of the two churches that constitute the Christian component of the present study: the East Syrian Church of Seleucia-Ctesiphon and the West Syrian Church of Antioch.

For Near Eastern Christians, perhaps the most remarkable effect of the Arab conquest was the withdrawal of their past sovereigns. By the end of the first half of the seventh century, the subjects of the Sasanian and Eastern Roman Empires were under Arab rule. Yet despite their unique character and particular development, these churches had certain features in common. The image is one of a general continuity in communal structures, cultural affiliations, doctrinal divisions, and administrative patterns. Left to their own devices (or given the freedom to regain their authority), ecclesiastical leaders under Islam continued to assert their control over their clergy, churches, monasteries, and schools. These institutions appear to have remained, for the most part, intact and unaffected by the turbulence of warfare in the first centuries of Islamic rule. Thus patriarchs were able to retain their positions; but instead of paying tribute to the Roman or Persian governments, they paid it to an Islamic caliphate. At the top of the local ecclesiastical organization, the bishop retained his dual role as spiritual guide and administrator.

Initially forming a significant part, if not the majority, of the population, the Syriac-speaking Christians of Mesopotamia and the Fertile Crescent were descendants of native as well as Greek cultural traditions. Since they sat at a cultural crossroads and experienced frequent changes of political authority, the cultural diversity of these people seems hardly surprising. Cultural vehicles such as poetry, chronicles, hagiography, and architecture were put to work as a means of transmitting a "Christian message." This message was often conveyed through the intellectual endeavors of monks in the outskirts of lay settlements. Thus the merging of pious and cultural enterprises served to enhance loyalty to the church and to local identities.

Near Eastern Rabbanite Jews

The second confessional group with which this study is concerned is the Near Eastern Rabbanite Jews of the later geonic period (tenth and eleventh centuries). In principle and quite often in practice, Rabbanite Jews were affiliated with the geonic centers of Babylonia and Palestine and their extensions over the vast territory between Iraq and Ifrīqiya (modern-day Tunisia). It is in this context that we find the activity of the geonic academies, as these institutions of learning were the product of an ongoing institutionalization of the rabbinic networks that had created the Mishnah and the Talmud. Thanks to their scholarly reputation and hereditary office, the heads of the geonic academies of Babylonia and Palestine were perceived by a significant part of the Jewish world as spiritual leaders, entrusted with the duty (and prerogative) of guiding groups and individuals in questions of law and communal life.

The history of the geonic period is also a history of Jewish factionalism in which competing allegiances promoted the fragmentation of local communities into separate, often rival, congregations. At the same time, however, it should be observed that contention and factionalism were not necessarily signs of a declining Jewish world but rather suggest a thriving one, reflected by the fierceness of the struggle for authority. Indeed, hundreds of thousands of documents from the Cairo Geniza attest to the richness and vitality of Near Eastern Jewish life. It was a period in Jewish history that gave rise to a Judaeo-Arabic culture, a melding of ancient Jewish traditions with the nascent Islamic civilization. It is here that we find Jewish intellectuals assuming an active role in a general atmosphere of intellectual and cultural prosperity. It is here, too, that we notice a remarkable resistance on the part of many who fought not only for the preservation but also for the ongoing development of Jewish jurisprudence.

Dhimmī Autonomy
There is much to be said for considering the history of Christian and Jewish groups under Islamic rule collectively. Drawing on common theological and civil legacies, the Christian and Jewish communities under Islamic rule resembled each other in many ways. They shared an eventful pre-Islamic past, in which the parting of the ways most likely came at a much later stage than contemporary narratives would have us believe. While Christian and Jewish elites were in the process of defining their respective orthodoxies, the two religious groups were about to be joined by a third monotheistic religion. As possessors of the revealed Scripture (al-kitāb) and adherents to a monotheistic religion, Christians and Jews were granted the protection (dhimma) of Islam within Islamic territory (dār al-Islām).

Many studies dealing with the social history of Christians and Jews under Islam presuppose that the dhimmī system entailed the creation of a social setting in which Christians and Jews were members of autonomous communities. This assumption lay at the basis of the modern scholarly view that correlated the pre-Islamic evolution of social communities centered on a confessional identity and an Islamic social outlook of segregation of Muslims from their non-Muslim environment. Here communal agents on both sides of confessional boundaries were entrusted with the preservation of communal life through an ongoing maintenance of its autonomous institutions. As such, communal autonomy has been seen as a central mechanism for the creation of a rigid demarcation between dhimmīs and Islamic society at large.

For Muslims, the point of dhimmī autonomy was "to demonstrate who belonged . . . to the dominant group and who did not"; for Christians and Jews, it served the ultimate purpose of confessional survival. Thus the so-called Pact of ʿUmar, a regulator of dhimmī status, was often invoked by Muslims and their dhimmī subjects, attesting to their mutual interest in sustaining past agreements. In practical terms, dhimmī communal autonomy meant for Christians and Jews the right to manage their internal communal affairs independently of the Islamic state, as if they were running "a state not only within a state, but beyond the state." This autonomous administration has been seen as running from the communal head down to a network of communal officers who collectively administered the community's judiciary, welfare system, and education free from any intrusion on the part of the Muslim authorities.

Communal institutions and their autonomous functioning formed the basis of dhimmī autonomy, while its centerpiece was the community's legal autonomy. So crucial was the maintenance of communal judicial institutions that modern scholars have argued that the realization of legal autonomy was a prerequisite for communal autonomy; indeed, this single claim has been adopted by otherwise divergent modern scholars who have argued, separately, for the existence, non existence, or partial existence of communal autonomy. The overriding principles that guided the majority of Muslim jurists dictated that dhimmīs were to conserve the usage of their laws, appoint their own judges, and have the freedom of recourse to their own tribunals.

At the same time, however, Muslim jurists were well aware of the Qurʾanic position that allows and even suggests that dhimmīs be judged in Islamic courts: "[They are fond of] listening to falsehood, of devouring anything forbidden. If they do come to thee, either judge between them, or decline to interfere. . . . If thou judgest, judge in equity between them (Q. 5:42)"; "And this [he commands]: 'Judge between them by what Allah hath revealed.' And follow not their vain desires, but beware of them lest they beguile thee from any of that [teaching] which Allah hath sent down to thee" (Q. 5:49).

Whereas according to some Muslim authorities, these verses designate the Islamic court as a locus of optional arbitration between dhimmīs (suggested in Q. 5:42), others argue for the primacy of Islamic jurisdiction over dhimmī legal affairs (suggested in Q. 5:49). Such questions can be seen as the basis of further disagreements among Muslim jurists on the issue of dhimmī legal autonomy. Yet in general, the majority of Muslim jurists gave permission to Christians and Jews to administer their laws independently and to pass judgment accordingly in their own courts, conditioned on the consent of both non-Muslim litigators. If one of the parties preferred to litigate in an Islamic court, the other party had no choice but to comply.

Revisiting the Paradigm of Autonomy

In his analysis of the conceptual framework of Jewish existence under medieval Islam, Haim H. Ben-Sasson stated: "Throughout the Middle Ages the Jews demanded—both from the dominant culture as well as from themselves—national and religious autonomy and cultural and social responsibility. In doing so they presented a challenge both to themselves and to the dominant society. The internal challenge gave rise to a creative spiritual force capable of offering vigilant resistance and of forging new life patterns for the community and the individual alike."

Ben-Sasson's remark reflects a common perception in modern studies dealing not only, as he does, with Near Eastern Jewry but also with Christian communities. These studies tend to view dhimmīs as well entrenched within the boundaries of national, ethnic, and religious units, segregated from their external environment. Thus, the theory goes, the survival of these communities into modern times depended on their ability to maintain firm communal discipline rooted in a confessional consciousness. Accordingly, Near Eastern Christian and Jewish communities are seen as social units that submitted to a monolithic and central authority—the patriarchs or the geonim, respectively. Moreover, on the basis of their religious convictions, members of these units are depicted as having owed allegiance predominantly to their confessional institutions, thereby ascribing only secondary importance to other forms of social organization outside their community. In sum, the Christians and Jews of medieval Islam are seen as members of corporate social entities whose boundaries are determined solely by the parameter of religion.

Plausible as the paradigm of communal autonomy may seem, it is also misleading, since the assumptions underlying the notion of autonomy fail to account for some principal characteristics of pre modern Near Eastern societies. The use of such expressions as "nation" and "national unity" to describe Christian and Jewish communities ascribes to dhiminī groups features similar to those found in medieval Christendom or in modern societies. Yet in practice, the principle of autonomous units based on confessional affiliation was best realized in the minds of those who sought to implement them—namely, the religious elites—and not necessarily in the lives of their communities. A crucial mechanism for creating confessional boundaries was the promulgation of legal stipulations. These provided practical guidance to believers in their daily encounters with adherents of other religions and also employed the sort of rhetoric designed to instill in the minds of believers a notion of uncompromising membership in autonomous confessional units. Quite often, this formality has been taken for reality. In practice, however, the extant evidence suggests a social setting characterized by multiple sources of authority, generated by multiple social affiliations—a setting, obviously, that did not well serve the ideology of those who were preoccupied with confessional uniformity and unity.

The notion of autonomy, let alone a rigid one, is undermined by the arguments of the very scholars who have championed it, since they themselves draw our attention to the fact that dhimmī regulations were frequently affirmed in theory but only sporadically enforced. Furthermore, as historians and social scientists have come to agree that religious convictions are not sufficient to explain social commitment, it seems that the commitment of non-Muslims to an autonomous community should be viewed with some skepticism. Rather than attempt to locate the hinge of social relationships in the bonds between individuals and their confessional authorities, an understanding of the social setting under discussion should begin with an acknowledgment of a multiplicity of constantly changing sources of social power. Of confessional leaders, it seems best to speak as people who shared their authority, at times unwillingly, with other figures (coreligionists and other), such as prominent merchants, landowners, scholars, holy men, courtiers.

Moreover, while dhimmī confessional leaders sought to fortify communal segregation through rhetorical and legislative means, they also frequently called upon the intervention of the Muslim authorities at moments of convenience. This plurality of authorities was dictated by a rich matrix of social ties that transcended confessional lines, thereby undermining the very notion of autonomy. It comprised a set of social allegiances, often based on a patron-client relationship, through which both parties were able to offer each other some form of social benefit.

We are dealing here with a society in which such individuals as 'Abdallāh ibn al-Muqaffa' (d. ca. 756) and Ya'aqūb ibn Killis (d. 991) were able to exploit their mixed affiliation fully, as they were born in one cultural environment, settled in another, converted to Islam, and placed their professional skills at the disposal of their Muslim sovereigns. Contrary to the notion of discrete units, the image that emerges from the social landscape of the medieval Near East is one of constantly evolving partnerships, friendships, collegial ties, and even familial bonds among members of different religions. In this respect, the evidence found in the Cairo Geniza is of utmost importance, as it clearly attests not only to the nature and character of social contracts but also to the atmosphere of freedom that had made them possible. The use of the term "contracts" is not accidental in this context: it derives from the individualist and reciprocal character of the social bonds forged among members of these societies, from an "image of bargaining," as Lawrence Rosen described it, in which "each attachment, each personal quality, each basis for affiliation became a resource to be utilized in fabricating a set of allies and dependents."

Thus, terms such as ḥaqq (right, duty, claim) in present-day Moroccan society and ni'ma (benefit) in that of tenth-century Būyid Iraq were used to denote the reciprocal character of the personal contract drawn up by two individuals. Rather than seeking the corporate, we should be in search of the individual and personal. It was through the latter that individuals became committed to a variety of other individuals in a "series of interpersonal ties, freely negotiated." Under these circumstances, it is misleading to attribute to confessional communities a monopoly over people's commitments and loyalties.

However salient its role may have been in the process of constructing social obligations, personalism cannot alone explain the murkiness of confessional boundaries. Late in the seventh century, the East Syrian monk John bar Penkāyē commented in his apocalyptic treatise that "there was no distinction between pagan and Christian, [and] the believer was not known from a Jew." Though it is offered in the context of an apocalyptic composition decrying the lack of confessional discipline, John's comment may also suggest the continuity of a shared Near Eastern culture, in which it was often impossible for members of one religious affiliation to be distinguished, in their mundane practices, from another.

Whether Christian, Jewish, or Muslim, members of discrete confessional affiliations appear to have shared a cultural orientation that may only have intensified as Arabic became the region's lingua franca. It is in this context of social embeddedness that those who sought to enforce confessional divisions—namely, the religious elites—had to come up with a discourse of resistance. As such, this discourse was intended to evoke in its audience emotions of fear and rage toward the other, the outsider—and also to advance, through a "symbolic separatism," the notion of a religious community and its place in the world.

Thus, from the outset of the Arab conquest, we find this discourse of resistance in a rich variety of literary genres, including hymns, liturgy, sermons, chronicles, hagiographies, martyrologies, and apocalyptic narratives. These works reflect the efforts of Christian and Jewish religious leaders alike to convey a message of opposition toward inter confessional contacts by depicting the Arabs as a divine punishment: immoral, transient, extractors of burdensome tribute, and ruthless persecutors. Unsurprisingly, this message corresponded to the very ideal of religious autonomy that was to provide religious elites with the legal and practical means to enforce their separatist aspirations. It was meant to provide a solution to the challenge of maintaining social-confessional cohesiveness in the context of Islamic permissiveness. It is against this background that we ought to view and interpret, on the one hand, the insistence of dhimmī leaders on judicial exclusiveness and, on the other, the incompleteness of its implementation.

The principle of legal autonomy, propounded by Muslims jurists and cherished by non-Muslim leaders, has often been presented in modern scholarship as a sign of dhimmī autonomy. Accordingly, the recurring violation of this principle, as reflected in the frequent non-Muslim recourse to Islamic courts, has been interpreted as a breakdown of the system—hence the harsh response of non-Muslim leaders. This interpretation, however, does not account for a broader social context in which, despite the formal segregation, members of one confession were able to interact with those of another without renouncing their religious convictions.

It is therefore of little surprise that recent calls for revisions in modern interpretations insist upon a greater emphasis on local context instead of the stringing together of isolated episodes into general phenomena. In overemphasizing a "homogenous 'we' ranged against a homogenous 'them' we are risking importing a foreign social setting into our study." Rather than assuming a social setting that fully embraced formal prescriptions, we should consider a setting that witnessed constant tension between the formal and informal. Instead of dividing the social landscape into wedges of sovereigns and minorities, jurisdiction and autonomy, we should consider one that was made of overlapping realms of authority. This is not to say that confessional communities had no applicable jurisdiction or that confessional institutions did not assume a practical role; far from it. But their existence and function should be viewed alongside those of other circles of social affiliation. It is in this context that we should consider the ongoing preoccupation of confessional elites with the question of their judicial jurisdictions. Here, in line with their arguments in favor of confessional autonomy, religious elites sought to draw their coreligionists into the fold of their judiciary, all the while highly alert to the fact that members of their communities had recourse to a variety of judicial authorities outside the boundaries of the autonomy that they aspired to realize.

The Social Role of Law and Judicial Institutions

In The Concept of Law, H. L. A. Hart argues a position that may seem somewhat inconceivable: "It is possible to imagine a society without a legislator, courts or officials of any kind . . . where the only means of social control is that general attitude of the group toward its own standard modes of behavior in terms of what can be characterized as rules of obligation." Yet Hart also acknowledges that "only a small community closely knit by ties of kinship, common sentiment, and belief, and placed in a stable environment, could live successfully by such a regime." The Christian and Jewish communities at the focus of this study did not possess such features, though at times we do find groups within these communities that were bound by highly intimate relations, not to mention religious convictions. Still, irrespective of the size and nature of local relationships, Christian and Jewish communities were often, if not always, spiritually led by men who believed that their membership in a religion and their ethnicity transcended local affiliations. In contrast to those small communities that Hart sees as capable of maintaining a social order without a legal apparatus, those under discussion were highly dependent on one: "In any other conditions in which this simple form of social control is absent inevitable symptoms of social uncertainty and incapability of adaptation to changing circumstances will appear."

Legal scholars and social historians acknowledge the role of law in general and its judicial application in particular as a means of social control and the use of that control for the purpose of social boundary maintenance, particularly by means of "monopoliz[ing] norms." Here, the language of the law has importance in and of itself, as it helps empower the prescriptive aspect of the law. For example, we often find jurists not only laying down explicit rules against intermarriage, but also embellishing these rules with a vocabulary meant to underscore the negative aspects of such an act and the negative attributes of those outside the group's boundaries.

We should also note the ceremonial setting in which the law is implemented. Referring to the performative quality of civic trials in the Roman Empire, Brent Shaw spoke about judicial processes as venues that constituted "a social field of rule-driven behavior." Whether taking place before an imperial magistrate, in the context of a majestic tribunal, or under a tree outside a remote village, a judicial procedure implies certain ceremonial conventions. The mere appearance before the judicial figure is in itself an expression of submission on the part of the litigants. In addition, a predetermined space, in which regular conventions of speech and principles of etiquette are expected to prevail, attests to the ceremonial quality of the judicial process.

Legal Pluralism: A Conceptual Paradigm

It is in light of the role of law in society and in the context of the multiple laws that governed the lives of Near Eastern societies that this study adopts legal pluralism as a conceptual framework. Social scientists, in their discussions of legal pluralism, have argued that a multiplicity of legal orders exists within every social setting. When it was revived, over two decades ago, the concept of "legal pluralism" was meant to undermine that of "legal centralism"—the notion that law is exclusively prescribed by the state, administered through its formal apparatus, and is equally shared by everyone. This was countered with the idea that the state is not the sole patron of legal systems; it "does not have a monopoly on law." Instead, rather than one law, legal pluralists have advocated for the prevalence of a multiplicity of laws.

This multiplicity is seen in the amalgamation of coinciding legal orders such as the laws of the village, municipality, state, district, and region, as well as national and transnational orders. In addition, many societies follow other forms of legal systems, such as customary, indigenous, and religious law, or laws related to ethnic and cultural affiliations. Here it is important to note that the loci of such legal orders should not be sought out only within the courts. In addition to a variety of formal types of tribunals, whether state-sanctioned or not, the redress of disputes and the validation of legal actions often take place in informal venues, through the intervention of informal institutions and figures.

Legal pluralism, then, is "the condition in which a population observes more than one body of law." At the basis of this notion lies the recognition that "within any given field, law of various provenances may be operative." The multiplicity of laws allows a multiplicity of legal orders, which, in turn, facilitate a multiplicity of "semiautonomous social fields." In other words, the concept of legal pluralism highlights the plurality of legal orders, as well as the plurality of social orders that the legal orders aim to sustain. Quite often, this multiplicity entails the overlapping jurisdiction of legal orders and, hence, of their legal institutions, particularly when social orders are not entirely self-regulated. The same legal order may serve more than one social order. Under such circumstances, we find that the legal institutions of discrete legal orders "support, complement, ignore or frustrate one another, so that the 'law'. . . is the result of enormously complex and usually in practice unpredictable patterns of competition, interaction, negotiation, isolationism, and the like."

But legal pluralism can exist within a single legal order. Thus a distinction needs to be drawn between the existence of multiple legal institutions within a single legal order, and multiple legal institutions sanctioned by multiple legal orders—or, in other words, between "system-internal pluralism and pluralism of systems." This distinction was introduced by John Griffiths in terms of "weak" and "strong" forms of legal pluralism, with the former pertaining to different rules and institutions prescribed by a single order and the latter to those prescribed by separate orders. Yet both forms present instances in which "a single population . . . acts within the framework of more than one body of law."

The Implications of Legal Pluralism

"Legal pluralism," writes Griffiths, is "a concomitant of social pluralism," and it is in this context that a dynamic of social control and social opportunism may occur. Since legal orders are exploited by various power groups as a means of social control, these groups "make competing claims of authority" and "may impose conflicting demands or norms." However, the very competition among power groups allows clients to make use of legal pluralism to advance social ends and gain practical advantages. Both competition and opportunism are at the heart of the social significance of legal pluralism. It is here that patrons of legal institutions (power groups) and clients (litigants) employ a variety of methods for the fulfillment of their respective agendas. While patrons tend to seek exclusive authority, clients may choose to exploit this goal to try to get a "better deal" or extract various benefits. This dynamic can accelerate when claims are put forward on religious grounds, as religious power groups tend to perceive law as crucial for the maintenance of confessional identity. Whatever their grounds, the claims of power groups are all over similar social capitals: "authority, legitimacy, supremacy, and the prerogative of control over matters within their scope." What is more, these claims are not voiced in a void but are often made in relation to claims by competing powers. Consequently, we may find that institutions and forms of legal reasoning and rhetoric undergo modifications within a given legal order in response to those of competing legal orders. In addition, patrons of legal orders may resort to a variety of practical measures for sustaining authority.

Legal Pluralism as a Methodological Paradigm

Legal pluralism can be found in almost any society. As a paradigm, the concept of legal pluralism can be used as a means to shed light on the social context in which it exists. In addition to identifying the patrons, clients, and institutions within a multiplicity of legal orders, legal pluralism can be used to understand the interplay between social phenomena and law. As a paradigm, it helps us to assess the manner in which legal discourse, legislation, legal interpretation, and stipulation reflect the agenda of patrons of legal orders, and the place and conduct of clients within their respective legal orders and, ultimately, social orders. Here it may be useful to view laws as maps, whose "main structural feature . . . is that in order to fulfill their function they inevitably distort reality." Law, likewise, "becomes the . . . way of imagining, representing, and distorting . . . social spaces and the capitals, the actions and symbolic universes that animate or activate them."

Our task, then, is to understand how and for what purposes patrons of legal orders attempt to achieve legal supremacy, and how they take into account the presence of adjacent legal orders. It is equally significant to analyze how clients of legal orders respond to claims of legal authority, exploring in particular the manner in which, for the furthering of their own ends, they exploit, on the one hand, these claims of authority and, on the other, the multiplicity of available authorities.

Legal Pluralism in the Late Antique and Early Medieval Near East

The image that emerges from ecclesiastical and rabbinic legal sources of the period under consideration conforms to the theoretical principles of legal pluralism. The ensuing discussion will show that the patriarchs and the geonim issued their opinions and decrees in the context of competing and overlapping judicial institutions of diverse social and religious backgrounds. Rather than focus on its manifestations, the concept of legal pluralism will serve here to consider the context in which confessional leaders made demands for judicial exclusivity and the means by which these leaders sought to achieve their goals. Because the patriarchs and the geonim opposed the freedom of their coreligionists to choose among a host of judicial possibilities, they had to come up with solutions that would enable them to win the loyalty of their coreligionists, while recognizing the realities "on the ground."

The ability of litigants to bring their suits before more than one judicial institution raises a variety of social questions. Such choice reflects the subordination of litigants to a multiplicity of judicial authorities as well as their affiliation with a multiplicity of social circles. The social questions that come to the fore, therefore, concern not only the agendas of patrons and clients but also the definition of their membership in a given social circle, their claims in favor of one social domain over another, the context of their choices, the forms of social ties they establish, and more.

Non-Muslim Confessional Elites

Ecclesiastical and Rabbanite leaders possessed the power both to conserve and to change the character of social institutions and mores. When we examine the actions of these men, it becomes evident that they were constantly concerned with preserving their authority. But status and power depend on resources; hence, the patriarchs and the geonim employed a variety of methods to secure the latter so as to preserve the former. The particular ways in which they chose to do so depended in part on the character of the ecclesiastical and rabbinic institutions themselves. In considering the agenda of confessional elites in such terms, it is also worth considering how Christian and Jewish communal institutions were put to use for its advancement.

The patriarchs' prerogative to convene synodical assemblies and that of the geonim to issue responsa was of crucial organizational significance, conferring upon these leaders supervisory and coordinating positions. Legal authority entailed more than issuing decrees and expounding the law: the patriarchs and the geonim sought also to ensure the implementation of their understanding of the law and its principles. A close reading of some of the issued canons and responsa along with complementary narratives of diverse genres reveals the kind of messages that brewed in the episcopal centers and the academies and that were later disseminated among the believers. These fulfilled the role of shaping public opinion and served to legitimate the position of confessional elites.

Thus, a complex network of communication was put to use, channeled through subordinated centers of local control, such as peripheral schools of law, monasteries, churches, synagogues, and judicial courts. The effectiveness of ecclesiastical and geonic authority was, to a large extent, dependent on the functioning of this network, as it provided a means for communicating messages as well as for gathering information about prevailing public moods. It is here that a middle rank of agents who stood between the elites and the laity, shuttling information in both directions, played an important role in bringing the latter effectively under the control of the former. The careers of clergy, scholars, local notables, and judges should all be viewed in light of this mediating function. The insistence on outer displays of hierarchy, including the zealous safeguarding of exclusive prerogatives, indicates the strong need on the part of confessional elites to set themselves apart from the masses and to manifest their superiority. The separation served as a reminder of the traditional social balance that had to be maintained and placed confessional elites in a position of exclusivity within well-defined boundaries.

Comparing Non-Muslim Communities: Eastern Christians and Rabbanite Jews

In addition to addressing the reasons for and responses to litigation in extra-confessional institutions, the goal of this study is to present a comparative analysis. The advantage of a comparative study is that it places the data pertaining to each group in a broader perspective, enabling an enhanced appreciation of the commonalities of the two communities and, no less so, of their unique characteristics. Thus, in examining the response of Christian and Jewish leaders to the phenomenon of legal pluralism, we are able to go beyond the immediate concerns of each confessional group separately and raise questions that follow from their juxtaposition. With respect to the differences between these groups, we must note—alongside disparities in communal structures, social institutions, and the nature of authority held by Christian and Jewish confessional leaders—an issue of chronological asymmetry.

Although Christian and Jewish communities formed a dominant part of the religious and social landscape of the Near East at the time of the Islamic conquest, extant source material does not permit us to treat the two religious groups in parallel terms. Whereas the Christian legal sources discussed here were put down between the second half of the seventh century and the end of the tenth century, geonic responsa have largely survived only from the tenth and eleventh centuries, with several exceptions from the ninth century. Scholars of the early Islamic period will rightly observe that this gap in time should not be taken lightly, since the immediate postconquest period is not necessarily comparable with the later period. For one, the formative centuries of Islamic rule, particularly the first and second, witnessed a gradual and partial consolidation of Islamic jurisprudence and judicial apparatus. Whereas church leaders of this period were beginning to sense the competition posed by the emerging administration of their Muslim overlords, those of the later period, along with the Jewish geonim, were already faced with and integrated into a far more developed Islamic state.

While the present discussion focuses on Near Eastern communities, it does not mean to ignore the fact that legal pluralism was not limited to the late antique and medieval Near East. Recent scholarship has drawn our attention to the struggle of religious elites in the western part of the Mediterranean to maintain judicial boundaries in the context of inter-confessional ties. The case of the Jews in medieval Christendom would be of particular use in our case, as it concerns members of religious communities that were founded on similar, if not identical, legal principles.

Thus, for example, a question referred to the Mahram of Rutenberg (Rabbi Meir Ben Baruch, d. 1293) or to the Ragmah (Rabbenu Gershom Meʾor ha-Gola, d. 1028 or 1040) pertained to the problem of whether a Jew may argue that his property was unlawfully taken by another Jew in a non-Jewish court. In reply, the petitioned authority answered: "The talmudic ruling to the effect that in Babylonia, one could not press the claim of 'unlawful seizure of real property' applied only to the well-regulated Persian state, the courts of which conducted their affairs in strict justice and truth. In other countries, however, where the judges accept bribery and prevent justice, that talmudic ruling does not apply." The answer reflects close legal and linguistic affinities with geonic responsa, underscoring the shared world of scholarship in which both Ashkenazi and Near Eastern Jewish jurists participated. Furthermore, the answer attests to the existence of similar preoccupations among Rabbanite authorities in medieval Christendom and the geonim. For Christians as well, such questions cut across denominational boundaries.

Sources

This study is based primarily on two main bodies of literature: (1) East Syrian and West Syrian legal texts, including the acts of synodical assemblies that issued canons for ad hoc purposes (synodica) from the late seventh century through the tenth century; and (2) geonic responsa: a vast legal corpus consisting of the numerous questions and answers that were exchanged between regional Jewish leaders and the geonim. Church regulations and rabbinic deliberations represent a form of documentary evidence that is less prone to manipulations than narrative sources—chronicles, hagiographies, biographies, and so forth.

Eastern Christian materials—canonical works, or law books, as well as collections of canons—are the product of an ongoing process of legislation by ecclesiastical assemblies, synods, and jurists. These genres of legal literature go back to as early as the first ecumenical councils of the fourth century A.D. and often include principles that were established as early as the second century A.D. Thus, in order to understand the context in which particular regulations appeared, it is essential to trace their origins in early Christian sources.

In addition, it should be noted that despite the affinity between the two sources and their occasional interchangeability, synodica and canonical treatises are to be treated as distinct genres of legal literature. While it can be argued that canonical treatises are a later development from synodical acts, we should not discard occasions in which individual canon laws were themselves proclaimed on the basis of earlier canonical works. Nevertheless, canon laws issued following synodical assemblies and regulations that appear in the works of jurists differ on a number of crucial points. Whereas synodical canons bear the quality of immediacy, canonical regulations evoke the quality of timelessness. In other words, synodical canons can be seen as ad hoc regulations meant to address the exigencies of the moment, while regulations codified into legal treatises were meant to serve successive generations. One manifestation of this difference is in the form and tone of the stipulations. Whereas canonical regulations tend to possess an impersonal character, referring to generic conditions and often formulated concisely, synodical canons tend to be elaborate, refer to specific figures, and consist of words of admonishment and exhortation.

The lists of high-ranking clergy signatory to synodical acts, as well as the scattered references to lower ranks of the clergy, strongly suggest that the contents of these materials were familiar to ecclesiastical officials. Yet in contrast to the case of the Roman Catholic Church, where there is some indication of the involvement of laymen in legislative endeavors and their reception of legislative materials, the situation in the East remains obscure. With regard to the first ecumenical councils, there are signs of the participation of laymen in ecclesiastical affairs in general and in legislation in particular. It has been suggested in the case of the West and East Syrian Churches that the role assigned to the clergy as repositories of legal knowledge may have been greater than in the West or in the Byzantine Orthodox Church.

Having said that, it would be wrong to think of Eastern Christian laymen as being legally ignorant or deprived of access to the contents of legislative materials. The conclusion of the acts of a West Syrian synod, apparently held in 1153, gives clear instructions as to who should be informed of these canons: "We determine and decree, we, all the bishops, and the synod that has been gathered . . . that for the renewing of the church every year in the Teshris [October or November], these canons shall be read before the people. [This takes place] while all are gathered in the church and they shall hear the canons, and they shall renew these canons by the renewing of the church. There is no authority from God that bishops or priests or deacons may neglect them and leave them without reading." This single testimony suggests that the clergy who were present in synods played a crucial role in transmitting ecclesiastical law and that the task of conveying the law to the laity was to be taken seriously.

Geonic responsa, on the other hand, were issued in reply to legal questions sent from various parts of the medieval Jewish world. In addition to their notable role to interpret the law and expound it, the responsa should be read in the broader context of letter writing, "a constitutive feature of Jewish social networks in the Mediterranean basin and the main medium in which Jews conducted politics from afar." At the same time, however, it should be noted that the vast majority of responsa that have survived are those that were sent to Jewish communities in North Africa and the Iberian Peninsula. This is primarily due to the preservation of documents in the Geniza and the efforts of Jewish scholars from Ashkenaz (Western Europe), who often relied on geonic responsa for their own purposes. According to Simha Assaf, geonic letters in general and responsa in particular would be read on Saturdays in synagogues by a prominent member of the local congregation and later copied and sent out to other communities. Many responsa that were later found in the Geniza are known to have been circulated by Jewish Maghrebi merchants who were constantly on the trade route between North Africa and Iraq. It is in this context that we find Egypt as a point of passage for couriers between east and west. Quite often, letters that were initially written in one location were first copied in Egypt before continuing to their destination.

The responsa cover a wide range of legal topics, including questions of ritual, civil law, and communal administration. As such, they serve as a useful mirror for Jewish life. Yet beyond the challenge of understanding the relationship between the responsa and early rabbinic literature—most notably, the Babylonian Talmud—our ability to draw historical conclusions from this source material depends on a careful examination of their authenticity and compatibility with the historical context in which they claim to be set. Unlike Christian jurists, the geonim rarely resorted to legislation. In fact, aside from two notable cases, the geonim's legal endeavors are primarily seen as interpretations of earlier rabbinic stipulations and principles for purposes of adaptation and accommodation to the needs of their time. The earliest sources we possess from the geonic period date back to the eighth century. Although formally, the geonic period is thought to have begun in the seventh or even the sixth century, the body of responsa now available becomes substantial only with materials dating from the tenth and eleventh centuries.

Structure

Part I of this book, which comprises Chapters 1 and 2, is introductory in nature, aiming to provide the reader with a sense of the high measures of legal pluralism that prevailed under the pre-Islamic Roman and Sasanian Empires and throughout the Islamic classical period, namely, until the thirteenth century. These chapters survey the various judicial institutions available to the people of the Near East during these periods and illustrate the fact that in both pre-Islamic and Islamic contexts, the plurality of judicial bodies, generated by a plurality of legal orders, was a matter of special concern for confessional elites and political leaders. These introductory chapters will allow us to approach the question of Christian and Jewish recourse to extra-confessional judicial institutions with the understanding that legal pluralism was neither unfamiliar to the predecessors of the patriarchs and the geonim of the Islamic period nor a challenge unique to non-Muslim confessional elites.

Part II, which comprises Chapters 3 through 6, considers the Christian and Jewish recourse to extra-confessional institutions within the broad context of Christian and Jewish public life. Chapters 3 and 4 concentrate on the organization of Christian and Jewish life in general and of West Syrian, East Syrian, and rabbinic judicial institutions in particular. Chapter 3 provides an outline of Christian communal organization and its judiciary (ecclesiastical and non ecclesiastical) in the period after the Islamic conquest. The chapter highlights the complex structure of Christian elites, consisting of both clerical and lay figures whose authority was based on a variety of social capitals. Chapter 4 maps out the various circles of Rabbanite authority in the late geonic period and identifies their judicial prerogatives. The chapter closes with a comparative analysis of Jewish and Christian social institutions in the early Islamic period. This comparison will allow some preliminary suggestions with regard to the structural differences between Christian and Jewish forms of authority and inter communal relations and discuss the character of Christian and Jewish judicial institutions. Specifically, it will be suggested that whereas the churches appear to have been in competition with Christian figures outside the ecclesiastical hierarchy, rabbinic law enabled the geonim to work in cooperation with Jewish men who had no formal capacity but nonetheless assumed crucial political and social roles in their communities.

Chapters 5 and 6 examine the specific question of Christian and Jewish recourse to extra-confessional judicial institutions. Both chapters begin with an analysis of the factors that prompted Christians and Jews to seek judgment before non ecclesiastical and non-rabbinic institutions, respectively, and the legislative response of their confessional leaders to this social phenomenon. Chapter 6 ends with a comparison of the incentives that drove Christians and Jews to seek judicial services before institutions that were not endorsed by their confessional leaders and the response of confessional leaders to this choice.

The concluding chapter brings to the fore some of the more elusive and controversial questions pertaining to the social history of Near Eastern societies in general, and of non-Muslims in particular in the first five centuries of Islamic rule. It offers a nuanced observation of Near Eastern social arrangements, arguing for the multiplicity of social affiliations, of which membership in a religious community was central but not exclusive.

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