“Pilate Defended”

2021 ◽  
pp. 225-238
Author(s):  
David Lloyd Dusenbury

The question of Pilate’s innocence is debated with greater sophistication at the end of the seventeenth century than ever before. A liberal professor of law in the city of Halle, Christian Thomasius, is now remembered as one of the master-thinkers of ‘secularization’ in the early Westphalian era. Yet Thomasius is rarely if ever remembered as the author of a highly interesting 1675 text On the Unjust Judgement of Pontius Pilate. Thomasius’ juridical text on Pilate is likely the high point of European legal reasoning on the innocence (or guilt) of Jesus’ Roman judge. However, Thomasius’ 1675 text is written in reply to two other forgotten texts: Pilate Defended, by Johann Steller; and A Refutation of the Defence of Pontius Pilate, by Daniel Hartnaccius. This chapter offers a reading of, and a reflection upon, this collection of early Enlightenment texts on the Roman trial of Jesus.

Author(s):  
Chad van Dixhoorn

The seventeenth century marked a high point in the Presbyterian experiment. A variety of models were tested internationally, and apologists for its polity offered a rigorous defense against Episcopalians, Congregationalists, and Erastians. The Westminster Assembly offered Presbyterians the first opportunity since the Reformation to model a fully Reformed church in England, and the gathering looked closely not only at the teachings of Scripture on ecclesial governance, but also at historical and contemporary models of connectional, nonhierarchical government to guide their formulations on church polity. The century also saw some of the worst persecution of Presbyterians, especially in France and Scotland, but also in England and central Europe. During their seasons of suffering, some Presbyterians found subtle ways to articulate their polity or identify essential elements of Presbyterianism. Others fought or fled hostile authorities, supplying a legacy of martyr narratives and missionary impulses for later Presbyterians.


2014 ◽  
Vol 55 (3) ◽  
pp. 362-392
Author(s):  
Diana Looser

In the closing scene of René-Charles Guilbert de Pixérécourt's melodramaLa Tête de mort; ou, Les Ruines de Pompeïa(1827), audiences at Paris's Théâtre de la Gaîté were presented with the spectacular cataclysm of an erupting Mount Vesuvius that invaded the city and engulfed the hapless characters in its fiery embrace. “The theatre,” Pixérécourt writes, “is completely inundated by this sea of bitumen and lava. A shower of blazing and transparent stones and red ash falls on all sides…. The red color with which everything is struck, the terrible noise of the volcano, the screaming, the agitation and despair of the characters … all combine to form this terrible convulsion of nature, a horrible picture, and altogether worthy of being compared to Hell.” A few years later, in 1830, Daniel Auber's grand operaLa Muette de Portici(1828), which yoked a seventeenth-century eruption of Vesuvius with a popular revolt against Spanish rule in Naples, opened at the Théâtre de Monnaie in Brussels. The Belgian spectators, inspired by the opera's revolutionary sentiments, poured out into the streets and seized their country's independence from the Dutch. These two famous examples, which form part of a long genealogy of representing volcanic eruptions through various artistic means, highlight not only the compelling, immersive spectacle of nature in extremis but also the ability of stage scenery to intervene materially in the narrative action and assimilate affective and political meanings. As these two examples also indicate, however, the body of scholarship in literary studies, art history, and theatre and performance studies that attends to the mechanical strategies and symbolic purchase of volcanic representations has tended to focus mainly on Europe; more research remains to be undertaken into how volcanic spectacles have engaged with non-European topographies and sociopolitical dynamics and how this wider view might illuminate our understanding of theatre's social roles.


2020 ◽  
Vol 71 (2) ◽  
pp. 135-155
Author(s):  
Courtney Grafton

The judicial restraint limb of the foreign act of state doctrine is presented as a time-worn doctrine dating back to the seventeenth century. Its legitimacy is indelibly wedded to its historical roots. This article demonstrates that this view is misguided. It shows that the cases which are said to form the foundation of the judicial restraint limb primarily concern the Crown in the context of the British Empire and are of dubious legal reasoning, resulting in a concept trammelled by the irrelevant and the obfuscating. It has also unnecessarily complicated important questions relating to the relationship between English law and public international law. This article suggests that the judicial restraint limb of the foreign act of state doctrine ought to be understood on the basis of the principle of the sovereign equality of states and conceptualised accordingly.


1909 ◽  
Vol 15 (1) ◽  
pp. 155
Author(s):  
J. H. Innes ◽  
Schuyler Van Rensselaer

2018 ◽  
pp. 169-180
Author(s):  
Katharina Sabernig ◽  

The first chapter of the most famous treatise in Tibetan medicine called Four Treatises (Rgyud bzhi) characterises the environmental preconditions in order to practice medicine in a perfect way. One of these aspects is the description of the mythical city called Lta na sdug where a precious palace of the Buddha of medicine is situated. The origin of the text passage and, hence, the geographical location of this mythical city is discussed controversially in the current literature. This paper, however, argues that it is possible that the suggested principles are applicable at any suitable place of Tibetan medical practice if they were adapted to the local environment as long as most of the described parameters are adhered to symbolically. Different types of visual expressions depicting features of the city as described in this introductory chapter will be compared. First, plate number one of the famous seventeenth century thangka collection to the Blue Beryl commentary stored in Ulan-Ude presents a rather orthodox interpretation of these circumstances. Second, not a painting but a three-dimensional example of monastic cityplanning: the medical murals in the inner courtyard of the Medical Faculty and the architectural arrangement of the Faculty within the whole cloister indicate that the local authorities may have regarded Labrang territory as a material form of Lta na sdug. Third, yet another pair of murals in a small monastery painted by the same artist as the murals at Labrang monastery present an alternative, vivid way of depiction.


Author(s):  
Olivier Walusinski

Gilles de la Tourette had a passion for the history of medicine and ideas, with a particular attachment to the city of Loudun, where his family had its roots. In 1884, he published a biography of another Loudun native, Théophraste Renaudot, a seventeenth-century physician who advocated reform in medical studies, calling into question the rigid scholastic method, limited to Hippocratic and Galenic medicine, in order to develop truly clinical practices as well as medical research. This chapter presents this biography and its genesis, Gilles de la Tourette’s hidden debt to Eugène Hatin, and unpublished letters received by Gilles de la Tourette after the book’s publication. Drawing on archival documents, the process Gilles de la Tourette initiated to erect a Renaudot statue in Paris and Loudun is detailed, as is his induction into the Ordre de la Légion d’honneur.


Author(s):  
Jonathan Israel

This chapter addresses how the climax of the European debate over Jewish readmission came during the third quarter of the seventeenth century. For a quarter of a century, conferences, commissions, and petitions published and unpublished over whether or not to tolerate Jews, and if so on what terms, abounded from Poland to Portugal and from Hungary to Ireland. Why did the political and intellectual process of readmission culminate at this particular time? Several factors converged to intensify previous trends but what was the most crucial was the widespread backlash in Germany, following the evacuation of the Swedish, French, and other foreign garrisons at the end of the Thirty Years War. The substantial gains made by the Jews of central Europe during the conflict, of Austria and the Czech lands as well as Germany, had aroused intense opposition and controversy, so that the coming of peace was almost bound to be accompanied by a formidable reaction. The chapter then considers the Jewish population and Jewish economy during this period.


2019 ◽  
Vol 23 (5) ◽  
pp. 442-457
Author(s):  
Anna Busquets

Abstract During the second half of the seventeenth century, there were at least three embassies between the Spaniards of Manila and the Fujian based Zheng regime. The first embassy took place in 1656 ordered by the Spanish governor in Manila. The ambassadors were two captains of the city, and its aim was to re-establish trade relations, which had been severed many months before. In response, Zheng Chenggong sent his cousin to the Philippine islands to settle several business arrangements regarding Fujianese trade. In 1662, Zheng Chenggong took the initiative of sending the Dominican Victorio Riccio, who worked as missionary in the Catholic mission at Xiamen, as emissary to the Governor of the Philippines, don Sabiniano Manrique de Lara. The third embassy took place in 1663. Thereupon, Zheng Jing, Zheng Chenggong’s successor, sent Riccio to Manila for signing a peace pact and for re-establishing trade. The three embassies were related to the Zheng’s purpose of gaining economic and political supremacy over the Philippines and the South China Seas. In all three cases, the actors, the diplomatic correspondence, the material aspects and the results differed profoundly. The article analyzes the role of individuals as intermediaries and translators while considering the social and cultural effects that these embassies had on the Sino-Spanish relations in Manila.


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