scholarly journals An Amenable Arrangement: The Unification of the Nichiren Sect in Sixteenth-Century Kyoto

2021 ◽  
Vol 48 (1) ◽  
Author(s):  
Dan Sherer

In this article, I argue that the Nichiren sect in Kyoto was able to recover from its near destruction in 1536 and maintain its position in the capital through the violent sixteenth century by unifying its disparate and contentious lineages under a new governing body, the Council of Head Temples. Unknown until the discovery of its documents in 1982, the council allowed the sect, as a unit, to negotiate with warrior power. The council was the culmination of pro-unity forces in the sect, especially those who succeeded in convincing the two sides to stop fighting each other over the sect’s greatest doctrinal dispute. Previous scholarship has treated the Nichiren sect in the late sixteenth century as being at the mercy of powerful warriors. This article shows that the monks of the Nichiren sect were able to muster considerable resources and not only negoti-ate better treatment from the warriors but even drive warrior policy.

2018 ◽  
pp. 48-81
Author(s):  
Janice Gunther Martin

Orations from university ceremonial occasions provide important evidence about standards of learning and rhetoric valued in university culture. At Oxford, the most significant yearly ceremony was the comitia, or Act. Preceded by the vesperies ceremony the previous Saturday, the Monday Act marked the occasion when students incepted, that is, received their licences to become masters or doctors and members of convocation, the university’s governing body. However, there are few surviving sixteenth-century speeches from the Act, and indeed few extant orations from other Oxford ceremonial occasions. An anonymous printer published the main master of arts speeches from the Acts of 1585 and 1586 in a single volume. This chapter focuses on the oration of 1585, perhaps authored by Thomas Savile, younger brother of the more famous polymath Henry. Besides being of interest for this possible authorship, it is significant for its connections, as yet unnoted by historians, to contemporary politics and to Jean Bodin.


Author(s):  
Jennifer H. Oliver

In the early 1520s, a ship of remarkable proportion was built in Le Havre, commissioned by François I in response, in part, to the size, success, and renown of Henry VIII’s Mary Rose. The story of the Grande Françoise, reported locally as the largest vessel ever witnessed, demonstrates the rich cultural and political symbolism (intentional or otherwise) of the ship in the sixteenth century, and the significance of its potential failure, destruction, and recuperation. This Introduction moves from the example of the Grande Françoise, including its swiftly traceable literary reception, to survey the classical, biblical, and medieval traditions that inform the writing of shipwreck in the sixteenth century, before turning to previous critical study of shipwreck, with particular focus on Hans Blumenberg’s essay Shipwreck with Spectator. The Direful Spectacle is in some senses a response to Blumenberg, offering a ‘close-up’ on French culture of the sixteenth century, and a challenge to his separation of the aesthetic from the moral or ethical in shipwreck texts. Situating this new study in relation to previous scholarship, the Introduction then proceeds to set out its distinctive themes and arguments, before concluding with an outline of the structure and summaries of the contents and argument of each chapter.


2021 ◽  
pp. 1-18
Author(s):  
K.J. Drake

This introduction presents the state of the question of the extra Calvinisticum in contemporary scholarship, defines the term and concept of the extra, and lays out the plan and method of the study. Previous scholarship has unduly focused on the doctrine of the extra in John Calvin to the neglect of other figures in the sixteenth century and largely failed to account for the historical context of polemics with Lutheranism. This book seeks to answer two main questions: When and why did Reformed theologians first articulate the extra, and how did the form and function of the extra Calvinisticum develop over the course of the sixteenth century? This work goes beyond previous studies by extending the discussion beyond Calvin by investigating the formulation and rationale for the doctrine in the works of Ulrich Zwingli and Peter Martyr Vermigli and in Reformed orthodoxy.


Nuncius ◽  
2021 ◽  
pp. 1-25
Author(s):  
Oscar Seip

Abstract In the Sixteenth Century, the Italian humanist Giulio Camillo built a ‘Theatre of Knowledge’ for the French King Francis I. Previous scholarship has debated whether this theatre was a physical place, a mental (mnemonic) space, or both. New archival evidence that has been overlooked in previous scholarship on Camillo, and his theatre, unequivocally proves for the first time that Camillo’s theatre had in fact been built in Paris. This invites a reconsideration of past reconstructions of the theatre and allows for the formulation of a new one. In this article, I have explored the hypothesis that Camillo’s theatre resembled an anatomy theatre. I have used 3D modelling and virtual reality in order to reconstruct some of the spatial features of Camillo’s theatre and explore how these insights further our understanding of his theatre in terms of historical and current practices surrounding the presentation of information and the invention of new knowledge.


2017 ◽  
Vol 3 (1) ◽  
pp. 25-38 ◽  
Author(s):  
Ben Dewar

AbstractDespite the frequency of rebellions against the Neo-Assyrian king Sennacherib, very few events in his annals are described as such. Instead rebels are often described as having never submitted to Sennacherib before. This reluctance to write about rebellion is unusual in Assyrian inscriptions, but has not been commented upon in the previous scholarship. This study investigates the reasons for this peculiarity of Sennacherib’s inscriptions. It is argued that the description of rebels in this fashion was intended to draw attention away from the connection between these events and the death of Sennacherib’s father, Sargon II. A second instance of a death in Sennacherib’s family affecting the content of his inscriptions is also identified. His son Aššur-nādin-šumi’s death followed a pair of campaigns to the borders of Tabal, the location of Sargon’s death. Because of this it was viewed as a “punishment” for undertaking these campaigns to regions tainted by association with Sargon. After his death, Aššur-nādin-šumi is never mentioned in the same inscription as these campaigns. Although Sennacherib generally avoids mentioning rebellion, overcoming such events was an important facet of Assyrian royal ideology. Because of this, events in some ideologically or historically significant regions are explicitly stated to be rebellions in the annals. Sennacherib’s inscriptions therefore demonstrate, perhaps better than those of any other Assyrian king, the two sides of rebellion’s ideological importance as both an obstacle overcome by a heroic king, and as a punishment for a poor one. His attempts to obscure some occurrences of rebellion demonstrate a fear of the more negative ideological aspect of rebellion which is not usually present in the inscriptions of other kings. This provides new insight into the factors which influenced the composition of Sennacherib’s inscriptions.


1991 ◽  
Vol 105 (4) ◽  
pp. 244-261 ◽  
Author(s):  
J. Bruyn

AbstractThe two sides of the current debate on the nature of 16th- and 17h-century realism are represented by an interpretation based on the recognition of familiar psychological and social factors on the one hand, and one which is averse to all empathy and endcavours to trace the intellectual process that determined function and meaning of images in the past on the other hand. This formulation of the problem also bears on portraiture, to which certain recent interpretations have assigned the significance of sociological documcnts. It is argued here that the portrait, too, had its place in the metaphorically structured and religiously orientated thought that still played a dominant role in the 17th century. Closely linked with the portrait's primary function - which is to perpetuate the memory of the sitter- is the reminder of death and transience cncountered in many (not all!) portraits. In a Family Group painted in 1661 by Jan Mytens in Dublin (fig. 1), the father points to two figurcs on the left who arc obviously deceased (as the papaver comniferum in front of them probably indicates). The piece of paper in his pointing hand is a frequent attribute of sitters in early sixteenth-century portraits, rolled up or folded (fig. 2). Seventeenth-century texts and a large number of vanitas still lifes (fig. 3) suggest that the motif was a symbol of transience: it is in this capacity that it was still being used a century ago in tomb sculpture (together with a skull) (fig. 4). The early sixteenth century saw not only the introduction of the sheet of paper but of a number of other motives which endowed the by now autonomous portrait with a religious meaning and which, together with more familiar symbols such as the skull, hourglass and carnation, alluded to the transience of earthly existcncc and the hope of eternal life. Some of them were only occasionally used, others (like the sheet of papicr) maintained their status as fixed items in the iconographic tradition. They include: - the glove (figs. 5 and 7): a frequently used motif (chiefly, but not exclusively, in male portraits) whose meaning the rejection of the false illusion of eartly existence and the search for truc life in the hereafter becomes only apparent from a relatively late printed source; - the cast shadow (fig. 7), which features in various biblical texts as an image of earthly transience and in the 16th and 17th centuries (in portraits, as well as genre scenes and still lifcs) was clearly understood as such; - musical instruments (fig. 8), which not only suggested the harmony of married life but also, due to their short lived sounds, were used as a vanitas motif in portraits and still lifes; - sumptuous architecture (fig. 8), which recalled the wealth of the rich man in Luke 12 and hence, again, the brief enjoyment of earthly possessions. Used less often, but with similar implications, were: - the butterfly (notes 42-44); - the vase of flowers (fig. 9); - the broken column (fig. 10). The meaning of the frequently occurring intact column, sometimes in combination with a curtain is still unclear. Even quite late in the 17th century a new motif was introduced in portraits to express he old vanitas idea: the waterfall, which notably in works by Jacob van Ruisdael had developed into an accepted vanitas motif (fig. 11).


2020 ◽  
pp. 79-101
Author(s):  
Clim Wijnands

A tabula scalata consists of triangular slats painted on two sides and attached to a panel, creating a “double image”. Sometimes, a mirror was placed at straight angles of the upper frame, allowing the beholder to see both painted sides at the same time – but only when standing in the right position. This contribution analyses how these scarcely studied devices relied on the beholder’s active participation to convey intertwined layers of artistic, scientific, political, and poetic meanings. To do so, it discusses two sixteenth-century case studies. The first is a lost painting created in French royal court circles around 1550 and subsequently making its way to Rome as a diplomatic gift. The device combined a portrait of Henry II of France, a moon symbol, and a puzzle-ridden poem to convey interrelated political and poetic meanings. The second painting is Ludovico Buti’s Portrait of Charles III of Lorraine and Christina de’ Medici. It was commissioned by the Medici, and originally hung in a room filled with maps and geographical devices. This article considers three aspects central to the paintings’ reception: motion, sensory perception, and ideology. Operating in an intellectual culture fuelled by curiosity and designed to evoke wonder, these devices aimed to prolong the beholders’ attention by establishing thresholds within the artistic experience. As such, they straddled the vague boundaries between painting, scientific instrument, and poem to stimulate the beholders’ senses and involve them in an interactive game of meaning-making.


Itinerario ◽  
2000 ◽  
Vol 24 (2) ◽  
pp. 62-79
Author(s):  
W.J. Boot

In the pre-modern period, Japanese identity was articulated in contrast with China. It was, however, articulated in reference to criteria that were commonly accepted in the whole East-Asian cultural sphere; criteria, therefore, that were Chinese in origin.One of the fields in which Japan's conception of a Japanese identity was enacted was that of foreign relations, i.e. of Japan's relations with China, the various kingdoms in Korea, and from the second half of the sixteenth century onwards, with the Portuguese, Spaniards, Dutchmen, and the Kingdom of the Ryūkū.


Author(s):  
C. Goessens ◽  
D. Schryvers ◽  
J. Van Landuyt ◽  
A. Verbeeck ◽  
R. De Keyzer

Silver halide grains (AgX, X=Cl,Br,I) are commonly recognized as important entities in photographic applications. Depending on the preparation specifications one can grow cubic, octahedral, tabular a.o. morphologies, each with its own physical and chemical characteristics. In the present study crystallographic defects introduced by the mixing of 5-20% iodide in a growing AgBr tabular grain are investigated. X-ray diffractometry reveals the existence of a homogeneous Ag(Br1-xIx) region, expected to be formed around the AgBr kernel. In fig. 1 a two-beam BF image, taken at T≈100 K to diminish radiation damage, of a triangular tabular grain is presented, clearly showing defect contrast fringes along four of the six directions; the remaining two sides show similar contrast under relevant diffraction conditions. The width of the central defect free region corresponds with the pure AgBr kernel grown before the mixing with I. The thickness of a given grain lies between 0.15 and 0.3 μm: as indicated in fig. 2 triangular (resp. hexagonal) grains exhibit an uneven (resp. even) number of twin interfaces (i.e., between + and - twin variants) parallel with the (111) surfaces. The thickness of the grains and the existence of the twin variants was confirmed from CTEM images of perpendicular cuts.


2004 ◽  
Vol 32 (1) ◽  
pp. 181-184
Author(s):  
Amy Garrigues

On September 15, 2003, the US. Court of Appeals for the Eleventh Circuit held that agreements between pharmaceutical and generic companies not to compete are not per se unlawful if these agreements do not expand the existing exclusionary right of a patent. The Valley DrugCo.v.Geneva Pharmaceuticals decision emphasizes that the nature of a patent gives the patent holder exclusive rights, and if an agreement merely confirms that exclusivity, then it is not per se unlawful. With this holding, the appeals court reversed the decision of the trial court, which held that agreements under which competitors are paid to stay out of the market are per se violations of the antitrust laws. An examination of the Valley Drugtrial and appeals court decisions sheds light on the two sides of an emerging legal debate concerning the validity of pay-not-to-compete agreements, and more broadly, on the appropriate balance between the seemingly competing interests of patent and antitrust laws.


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