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Identity is a permanent integral feature of archaeological research. Even when it seems marginal to the current archaeological agenda, identity is brought back into the discussion by the urgency to engage with—often homogenizing—identity-based policies in contemporary politics. Lately, the emphasis placed on difference, fluidity and multivocality within archaeology has sensibly advanced the debate. Nevertheless, immutable identities continue to arise in studies of antiquity, replicating essentialist assumptions on the human past built around binary structures and simplistic equations of culture-historical reminiscence between material culture/practices and identities. The contributors to this special issue show how informing archaeological discourse with a semiotic methodology enhances the visibility of social dynamism, cultural complexities, among ancient human groups. This is particularly true for the communities silenced by history. These papers push the ontological and epistemological boundaries of archaeology by envisaging the archaeological record as a set of interconnected signs, whose cognitive potential overcomes the material space they occupy so that they become meaningful to different individuals and communities in diverse ways. Their stance maintains that semiotics holds the largely unexplored potential to enhance our understanding of the complexity of the past, ultimately offering a compelling standpoint to engage with contemporary identity-centred political debates.
Cognitive archaeology focuses on the mental processes behind human material culture, exploring the human mind for patterns of behavioural strategies and their corresponding material expression in artefacts. Sharing some of the aims and perspectives of cultural anthropology, cognitive archaeology has also been called ‘Evolutionary Cognitive Archaeology’ (ECA) when it refers to hominin evolution. However, despite the abundance of publications and research projects that focus on ECA, this is a relatively new discipline, in which the earliest analyses were principally oriented to the appearance and evolution of language and symbolism. As there is no standardized method for investigating cognitive evolution, ECA researchers use multidisciplinary and wider theoretical models and methodological approaches. In this sense, partially because it is not unique to the genus Homo, stone toolmaking has been, and still is, an essential criterion for inferring hominids’ cognitive capacities. Aiming to contribute to ongoing discussions, this paper addresses and reviews some of the more relevant evolutionary cognitive approaches related to stone-tool manufacture in general and Acheulean technology in particular, aimed at building a synthesized chronological review of the discipline.
While nations, societies, and individuals have always been engaged with both the tangible and intangible aspects of cultural objects, such as archaeological artifacts, artworks, and historical documents, the twenty-first century is seeing a significant shift in the law, ethics, and public policy that have long characterized this field. This book offers a comprehensive analysis of recent developments concerning cultural property. It identifies the underlying forces that drive these changes, focusing on the new political balance between source countries and market countries, the strengthening of cross-border lawmaking and law enforcement, the growing impact of provenance research and due diligence as legal, professional, and ethical norms, and the transformative role of digital databases. The book sets out normative principles for designing a better synergy of the hard law and soft law mechanisms that govern cultural property policy and markets. It proposes a property theory of ownership and custody of cultural objects and outlines a model of 'new cultural internationalism' to promote cross-border collaboration on cultural heritage, including new restitution frameworks.
Northwestern Iberia was inhabited by communities whose only settlement model was the hillfort throughout the Iron Age. In archaeological terms, these people are included in the so-called ‘Castro Culture’. These communities experienced social and material changes at the end of the Iron Age. From the second century bc onwards, a more hierarchical and complex social system, together with a process of monumentalization and sophistication of the architecture of the settlements, was adopted. More specifically, in the region between the Douro and Miño rivers, a series of highly original subterranean constructions have been documented. Unique in the archaeological record of the European Iron Age, the function of sites has been much debated, with the most accepted use as steam bath. In this article, these buildings are analysed from a performative approach, to understand their meaning and function in the context of the landscape of the hillforts.
Chapter 3 observes the stark contrast between long-standing practices of market opacity and secrecy in the field of cultural property and current legal, professional, reputational, and ethical trends that promote a requirement to engage in due diligence in dealing with cultural property. It then highlights the changing role and scope of provenance research, which has evolved from a highly selective focus on an object’s “career highlights” to promote its value to the task of identifying potential “dark holes” in the chain of title and possession of an item since its creation or discovery. This changing paradigm can be largely attributed to the renewed interest, as of the 1990s, in the history of items that may have been involuntarily lost by their Jewish owners during the Nazi era. This chapter shows how the professionalization and systematization of provenance research, while taking different forms across various jurisdictions in Europe and beyond, may prove essential for promoting provenance research on the history of other cultural items, such as colonial-era objects.
Chapter 6 aims to construct a future-looking theoretical framework for handling cultural objects for which questions of past illegality and/or illegitimacy arise but where a potential claimant – whether an individual, a community, or a source nation – is unable to pursue formal legal proceedings against the current possessor, and the relevant law enforcement agencies cannot equally pursue criminal, administrative, or public law proceedings. Accordingly, the chapter seeks to identify normative principles for dealing with the issue of “restitution” (broadly defined) that operates outside the realm of hard-law norms and institutions. It starts by examining the key aspects of the institutional/procedural and normative principles of the restitution committees established in certain European countries and tasked with the development and implementation of “just and fair solutions” to address Holocaust-era wrongful dispossessions. It then considers whether “just and fair solutions” can be devised for other contexts and, if so, how legalistic ethical reasoning could be adapted for these settings. The focus then shifts to the case study of France and its complex approach to the restitution of colonial-era objects to African source countries. The chapter then examines the various remedial mechanisms that are in operation, or that can be developed, to apply such normative principles to broader contexts of addressing past wrongs, including long-term loans, digital restitution, and the establishment of cross-border trusts to enable the joint custody and stewardship of collections. The chapter, and the book, conclude by addressing the role of such a normative blueprint, aligned with the concept of new cultural internationalism, in moving toward the convergence of law, policy, and markets for cultural property.
Chapter 1 analyzes the new balance of power emerging in the world of cultural property between source countries and market countries. It begins with a case study of the Benin Bronzes and the recent measures of “cultural diplomacy” employed between Nigeria, as the source territory of these objects, and governments and cultural institutions located in Western countries. It then explores cases where cross-border collaboration takes place to address real-time or recent acts of illegal excavation, looting, and smuggling of cultural objects across national borders. With these in mind, the chapter introduces the concept of new cultural internationalism, suggesting that these changing dynamics should not be seen as leading to “isolationism” or a backlash against globalization. This is particularly true as the cross-border nature of cultural property markets is probably more dominant than ever before, though it now bears more complex and multidirectional traits compared to the traditional categorical division into source countries and market countries.
Chapter 4 offers a first-of-its-kind taxonomy of different types of cultural property databases that are being developed and expanded at an increasing rate by a multitude of private and public entities. It explains how such digital databases may facilitate a legal, public-policy, and professional shift in designing law, policy, and markets for cultural property. The chapter begins with a study of the recently launched Digital Benin project and then offers an overview of (1) international and national databases for crime detection, such as INTERPOL’s Stolen Works of Art Database; (2) private databases offering due diligence services, such as the Art Loss Register; (3) theme-specific databases on Nazi-looted assets and colonial contexts; and (4) academic and professional databases for provenance research, such as the Louvre’s open-access digital database, which was launched in 2021 and features more than 500,000 objects from the museum’s collections, or the Getty Provenance Index, which provides access to about 2.5 million items. The chapter seeks to demonstrate that digital databases on cultural property can (1) facilitate fact-finding in specific disputes; (2) serve as a professional or even legal benchmark for abiding by due diligence and similar norms; (3) enable information-sharing as a basis for “just and fair solutions” in the context of Nazi-looted artifacts, “colonial contexts,” and other circumstances that address past wrongs; and (4) promote a general value of transparency in a field previously dominated by opacity and secrecy.
While nations, societies, and individuals have always been engaged with both the tangible and intangible aspects of cultural objects, such as archaeological artifacts, artworks, and historical documents, the twenty-first century is seeing a significant shift in the law, ethics, and public policy that have long characterized this field. This book offers a comprehensive analysis of recent developments concerning cultural property. It identifies the underlying forces that drive these changes, focusing on the new political balance between source countries and market countries, the strengthening of cross-border lawmaking and law enforcement, the growing impact of provenance research and due diligence as legal, professional, and ethical norms, and the transformative role of digital databases. The book sets out normative principles for designing a better synergy of the hard-law and soft-law mechanisms that govern cultural property policy and markets. It proposes a property theory of ownership and custody of cultural objects and outlines a model of “new cultural internationalism” to promote cross-border collaboration on cultural heritage, including new restitution frameworks.
Chapter 2 portrays the changing legal landscape addressing the legality – or lack thereof – of the cross-border movement and trade of cultural property. It starts by identifying the key features of legal divergence across national legal systems, concerning both private law and public law aspects, and discusses how this disparity poses a challenge for dealing not only with past actions but also with the current features of the global market for cultural objects. It then provides an overview of the evolution of international institutions and legal norms related to cultural property, such as the 1970 UNESCO Convention on the Means of Prohibiting and Preventing the Illicit Import, Export and Transfer of Ownership of Cultural Property,
1 United Nations Educational, Scientific and Cultural Organization (UNESCO), Convention on the Means of Prohibiting and Preventing the Illicit Import, Export and Transfer of Ownership of Cultural Property, Nov. 14, 1970, 823 U.N.T.S. 231
. which focuses on public international law, and the 1995 UNIDROIT Convention on Stolen or Illegally Exported Cultural Objects,
2 UNIDROIT Convention on Stolen or Illegally Exported Cultural Objects, June 24, 1995, 2421 U.N.T.S. 457
. which introduces a key dimension of private international law. This chapter demonstrates how new legal avenues are being pursued to address the gaps created by the traditional system of international conventions, specifically through the introduction of criminal law and law enforcement measures, including regional and bilateral collaborations. It highlights, respectively, the role of the European Union and bilateral mechanisms to which U.S. federal and state agencies are a party. The chapter then introduces how “legalistic ethical reasoning” may operate in scenarios where hard-law claims are unavailable, such as in cases involving cultural property dispossessed during the Nazi era.
Chapter 5 seeks to identify the normative foundations of a property theory of ownership and custody of cultural objects. It begins by examining the case study of the current legislative, administrative, and judicial framework in Italy, which aims to grant cultural institutions an essentially eternal right to control the reproduction and use of images of their cultural holdings. It then addresses the redefinition of a “museum” adopted in 2022 by the International Council of Museums and the implications this may have for the role of cultural institutions. The chapter then seeks to delineate the contours of a property theory of cultural objects and the corresponding sets of in rem rights and in rem duties that should apply to cultural institutions as both proprietors and custodians, by reconsidering the role of “placeness” of cultural institutions and their collections. In particular, a theory of ownership and custody of cultural objects held by cultural institutions should refer to the link between culture and space in considering the mirror-image questions that have been at the center of legal, professional, and public attention, namely: does a cultural institution have an in rem right to appropriate the value components of cultural objects, such as by limiting or prohibiting others from using or reproducing images of items in its collection; and, conversely, does a cultural institution have an in rem duty, as a custodian of culture, to actively make accessible to the public images and other information on items in its collections?
This Element explores why historic urban places matter emotionally. To achieve this the Element develops a conceptual framework which breaks down the broad category of 'emotion' into three interrelated parts: 1. Emotional responses, 2. Emotional attachments, and 3. Emotional communities. In so doing new lines of enquiry are opened up including the reasons why certain emotional responses such as pride and fear are provoked by historic urban places; the complex interplay of the physical environment and everyday experiences in informing emotional attachments, as well as the reasons why emotional communities coalesce in particular historic urban places. In addition, the Element explores the ways in which emotion, in the form of responses, attachments, and communities, can be considered within heritage management and concludes with a discussion of where next for heritage theories and practices. This title is also available as Open Access on Cambridge Core.
This Element revisits the historiographical and archaeological paradigms of Roman rural economies, with a particular focus on the peasant communities of Roman Iberia. Traditionally overshadowed by the dominance of the villa schiavistica model, which centers on large-scale slave-operated agricultural estates, recent interdisciplinary research has unveiled the complexity and persistence of peasant economies. By integrating data from archaeological surveys, rescue excavations, and textual analyses, this volume highlights the significance of dispersed settlements, small-scale farms, and sustainable agrarian strategies that defined the peasant landscape. Case studies from diverse sectors of the Iberian Peninsula demonstrate diverse modes of land use, such as intensive cultivation, crop rotation, and manuring, which contrast with the economic assumptions tied to elite-dominated production models. Furthermore, the author explores Roman peasants' socio-economic structures and adaptive strategies, emphasizing their pivotal role in shaping landscapes. This Element advocates for reexamining Roman peasantries as active and complex agents in ancient history.