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After offering a definition of “conspiracy theory” and highlighting some interesting interconnections between conspiracy theories and religious worldviews, we turn to epistemologically relevant analogies. Proponents of conspiracy theories and religions have often been accused of the same biases and epistemic vices, e.g., gullibility, hypersensitive proneness to personal explanations, or overemphasis on holistic thinking. So-called Generalism is best understood as the thesis that conspiracy theories are guilty until proven innocent because they share certain “bunkum-making properties.” However, we argue for the particularist position, i.e. the position that a general epistemic presumption against conspiracy theories is not tenable. Building a negative valence into the very notion of conspiracy theory is not convincing either. Given the analogies, our analysis supports similar verdicts with respect to religious worldviews: Like conspiracy theories, they should be evaluated on a case-by-case basis rather than being dismissed simply for being religious. Finally, we reject Bezazel’s view that both conspiracy theories and religious worldviews constitute a-rational frames or “bliks” that, besides other things, ground what counts as an explanation. Such a proposal squares badly with epistemic misgivings about particularly preposterous examples of conspiracy theories and religious worldviews.
In this paper, I propose an analysis for tonal alternations at the prefix–stem boundary in Tenyidie (Angami), where Mid tones in prefixes and stems dissimilate. I argue that this alternation is driven by the OCP (Obligatory Contour Principle) (Leben 1970) of Mid tones. However, sequences of Mid tones are seen elsewhere. I claim that this asymmetry can be solved with recourse to prosodic phonology (Nespor & Vogel 1986/2007). By assuming that stem and suffix form a prosodic word, excluding prefix, I argue that Mid tones fuse within the prosodic constituent to avoid OCP-Mid. The same constraint also triggers dissimilation across the prefix–stem environment, because of prohibition of fusion across prosodic boundaries. This is an example of phonological conspiracy where multiple processes work together to repair or avoid a single marked structure (Kisseberth 2011).
This study investigated the impact of reading statements in a second language (L2) versus the first language (L1) on core knowledge confusion (CKC), superstition, and conspiracy beliefs. Previous research on the Foreign Language Effect (FLE) suggests that using an L2 elicits less intense emotional reactions, promotes rational decision-making, reduces risk aversion, causality bias and superstition alters the perception of dishonesty and crime, and increases tolerance of ambiguity. Our results do not support the expected FLE and found instead an effect of L2 proficiency: Participants with lower proficiency exhibited more CKC, were more superstitious and believed more in conspiracy theories, regardless of whether they were tested in L1 or L2. The study emphasises the importance of considering L2 proficiency when investigating the effect of language on decision-making and judgements: It—or related factors—may influence how material is judged, contributing to the FLE, or even creating an artificial effect.
In the late 1960s, a spotlight cast upon some of the CIA’s more questionable activities in the subcontinent had a profound and enduring impact on Indian perceptions of the United States’ government and its external intelligence service. In the wake of the Ramparts scandal, the CIA came to occupy a prominent place in mainstream Indo–U.S. cultural and political discourse. For the remainder of the twentieth-century, and beyond, anti-American elements in India drew repeatedly upon the spectre of CIA subversion as a means of undermining New Delhi’s relationship with Washington. The blanket exposure given by the world’s press to CIA indiscretions, exemplified by the international media circus surrounding Congressional probes into the U.S. intelligence community, made a deep psychological impression in South Asia. This chapter traces the socio-political impact of Indira Gandhi’s assertions that the malevolent hand of the CIA lay behind India’s problems, foreign and domestic. It recovers South Asian agency in intelligence terms by interrogating the utility of Gandhi’s policy of exploiting the CIA’s reputation as a socio-political malefactor to court popular legitimacy.
Spying in South Asia’s conclusion addresses the impact of the end of the Cold War, and the onset of a ‘war on terror’, on British and American intelligence relationships with India. It explores the rationale behind Indian governments’ softening of anti-CIA rhetoric from the mid-1980s, and the implications for New Delhi’s intelligence agencies of the precipitous collapse of the USSR, and the abrupt conclusion of the Cold War. It assesses factors underlying the post-Cold War recovery of Western secret services from the position of public pariahs in India to that of New Delhi’s principal partners in intelligence and security matters. In 1947, as the Cold War dawned and the newly independent subcontinent confronted formidable threats to its stability and security, New Delhi turned to London and Washington for covert support. Some half-a-century later, after decades of what might best be described as circumscribed cooperation compromised by conflict and conspiracism, the intelligence services of India, the United Kingdom, and the United States, once more found compelling reasons to put their differences aside, and work together as close partners in a new secret war.
This chapter discusses general principles of liability as they apply across the various offences and provide for the doctrines by which a person may commit, participate in, or otherwise be found responsible for those crimes. They include forms of liability such as aiding and abetting, which are familiar to all domestic criminal lawyers, as well as principles like command responsibility, which are specific to international criminal law.
Utopia is nominally a ‘nowhere’ that is also, as Thomas More tells us, a ‘good’ place. Although there are competing cognate notions, the Greek description looms large in most accounts of utopia. The details of this ideal are so specified that utopic literature consists in a catalogue (and critique) of specifications. This essay draws attention to the fragrance attributed to Lucian’s ‘Isles of the Blest’ together with Ivan Illich’s attention to ‘atmosphere’ and to the aura and the nose along with Nietzsche’s emphasis on the sense of smell. Utopic suspicion is discussed as parallels are drawn with pragmatic critiques of utopia as inherently totalitarian along with the ‘good life’ in political theory and the programmatic default of techno-utopic fantasy. In the historical context of ‘conspiracy’ and the politics of living and breathing together in community, I conclude with Illich on pax and breath.
We consider changes (Persianizing one) that Alexander made to his court from mid-330 BCE onwards, as well as opposition to it (and him) in the form of conspiracies and other clashes. Discussion is framed by a brief look at changes introduced by previous kings, as well as at new evidence from archaeology in north Greece that alters our understanding of early Macedon. It also takes into account the Greco-Roman literary topoi that overlay our sources, particularly with regard to major conspiracies, conflict, and the ‘mutiny’ at Opis – all in an effort to excavate the original underlying Macedonian perspective, insofar as we can.
Conspiracy theories and rumors, as forms manifesting “social thought” (Rouquette, 1973), share processes and functions. The few studies dealing specifically with the question of belief in rumors questioned the link between adhesion and transmission (Allport & Lepkin 1943; Rosnow, 1991; Guerin & Miyazaki, 2006). The aim here will be to question the link between « knowledge », « adhesion » and « transmission » in conspiracy theories and rumors through two empirical studies. Can we know and transmit without adhering to? Can one know and adhere to without transmitting? Can we adhere to and transmit without actually « knowing »?
Emotions have profound consequences for human functioning. Their influences can be adaptive, guiding people through life and ensuring effective functionality within society, but emotions can also result in irrationality and bias. This chapter focuses on the role of emotion in conspiratorial beliefs, using the QAnon conspiracy theory as an example. Within the chapter, we discuss affective factors that make QAnon appealing to its followers and the role of discrete emotions in the spread of misinformation and conspiratorial beliefs. The chapter also examines the influence of emotions on information processing. Given QAnon supporters’ strong emotional involvement in the movement, we discuss affective influences on information processing through the lens of affective polarization. In addition, we explain how emotions, particularly anger, influence the propensity towards extreme and sometimes violent action that has been on the rise among the followers of QAnon. The chapter concludes with a discussion of potential mitigating variables and strategies that might curb proliferation of QAnon.
Over the course of 2020, QAnon has repeatedly captured the news media’s attention more than ever as the group starts to move their activities from online chat boards into the offline world. With increased public attention, so too political commentators (expert and lay) increasingly refer to QAnon as a “cult” (Blazakis, 2021; Hassan, 2021). What is missing in the growing literature on QAnon is: (1) an examination of the movement within the context of the substantial academic literature on new religious movements and (2) use of this research to see whether labeling QAnon a “cult” or “new religious movement” makes sense in a comparative context. This is of particular importance not only because the use of these terms by the public is usually divorced from academic research on the topic, but also because the terms are often used as weapons to tarnish a movement that is considered to be deviant in some way. We argue that QAnon indeed has elements of a new religious movement, and note that treating it as such reveals insights for how the movement will evolve and develop over time.
The COVID-19 pandemic altered people’s lifestyle and caused them to have newfound free time with less ability to socialize. This ample time, and the polarizing influence of Trump’s presidency, likely facilitated the popularization of the conspiracy group QAnon. QAnon’s popularity partly can be attributed to the shift toward Conservative values, explained by Parasite Stress Theory, Moral Foundations Theory, and Terror Management Theory. As QAnon grew in prevalence, which subsequently increased social and aggressive acts from these groups, supporters justified the group’s actions using moral disengagement mechanisms. These acts include physical acts of violence, verbal threats of violence, and the spread of harmful misinformation. The purpose of this chapter is to apply the above-mentioned theories to understand the growth of QAnon, which can be used to garner a broader understanding of the cognitive processes of other conspiracy groups in general.
An interpretation of Machiavellis play Mandragola, showing that the most ridiculous figure in the play is also its master conspirator, and represents Machiavelli himself.
Machiavelli creates the modern world of necessities that can be understood and controlled. He invented a world in the modern sense of a whole by itself, not explained by ideas or essences, and not followed by the next world.
During the Civil War, many Americans were prepared for censorship if free speech undermined preserving the Union. Journalists were unable to obtain timely accurate information on the military campaigns either for fear of helping the enemy or depressing morale at home. Self-censorship was far more important than official suppression of free speech, as spontaneous popular pressure curtailed freedom of expression at the beginning of the war and later on the army performed a similar function. For Federals, commitment to preserving the Union required treating Confederates as ubiquitous seditious conspirators. Combatting this internal enemy, in turn, especially in the Border States, required extensive suppression of free speech. Later in the conflict and right across the Union, the critical and urgent need to fill the ranks led to official censorship of any words that might discourage volunteering, and this conflicted with freedom of religion as well as speech and the press.
Chapter 4 addresses the rising civil costs of dissent. It examines the various costs and liabilities that apply to protest organizers, participants, and supporters. These include permit fees, damages resulting from personal injury lawsuits, statutory penalty enhancements, and loss of public benefits. The chapter makes the case for stricter First Amendment scrutiny of these costs and argues that certain fee-shifting arrangements and civil causes of action violate the First Amendment. It encourages public officials to commit to reducing rather than piling on the costs of dissent.
This chapter revisits the classic issue of the origins of Latin American independence and questions a set of prevailing historiographic assumptions. From a review of political conspiracies and mobilizations in eighteenth-century Latin America, it argues that Spanish and Portuguese colonial sovereignty faced significant challenges well before the Napoleonic invasion of the Iberian Peninsula in 1807; that the role of popular sectors was crucial to revolutionary and counterrevolutionary politics in the eighteenth century; and that the conflicts in Iberian American territory were linked to wider political dynamics in the Atlantic world. Without adopting a determinist argument that Bourbon reform or American identity explains Latin American independence in the nineteenth century, the chapter disputes the idea that a stable and legitimate “old regime” only unraveled after 1808. It also suggests that significant patterns of political contestation in the late colonial period found new expression in the novel context of the early nineteenth century.
In September 1961, Munu Sipalo circulated a conspiracy pamphlet at the founding conference of the Non-Aligned Movement in Belgrade. Chapter 5 thinks through the motif of conspiracy to ask how this cohort responded to the challenges of the global Cold War, particularly in the context of the Congo Crisis of 1960–1961. Congo had a particular resonance for this regional cohort, laying bare the high stakes of ‘nominal’ political independence in a time of Cold War neo-colonialism. In London, the Committee of African Organisations commented on the unfolding crisis and its implications for decolonising knowledge production, as Chango Machyo and Dennis Phombeah launched pamphlet ventures in the aftermath of an All-African Students Conference. For many in this cohort, engagement with the contours of the Cold War happened through youth and student internationals. Samuel Kajunjumele attended the 1959 Vienna World Youth Festival with the International Union of Socialist Youth at a pivotal moment: just as these organisations increased their contacts in the region, the uncertainty of independence negotiations made students abroad appear a liability – in notable contrast to the early 1950s.
Chapter 4 argues that the nascent community of international criminal law practice coalesced around the judgments issued by the International Military Tribunal (IMT) in Nuremberg and International Military Tribunal for the Far East (IMTFE) in Tokyo after the end of the Second World War. The United Nations (UN) tribunals for the Former Yugoslavia (ICTY) and Rwanda (ICTR), established in the 1990s, significantly developed the legal rules regulating the attribution of individual criminal responsibility for mass atrocities, further consolidating the international criminal justice field. Chapter 4 argues that, from the perspective of intersubjective legalism, both the post-Second World War tribunals and the UN tribunals displayed sound legal reasoning in the assessment of criminal responsibility for two reasons: Firstly, they followed a consistent normative logic, namely that morality was the animating force behind legality. Secondly, many judges and outside legal commentators shared that normative logic. Nevertheless, over time the UN tribunals polarized the international criminal justice community of practice on questions concerning the scope and requirements of criminal responsibility rules.