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Virtue ethics tells us to ‘act in accordance with the virtues’, but can often be accused, for example, in Aristotle’s Ethics, of helping itself without argument to an account of what the virtues are. This paper is, stylistically, an affectionate tribute to the Angelic Doctor, and it works with a correspondingly Thomistic background and approach. In it I argue for the view that there is at least one correct list of the virtues, and that we can itemise at least seven items in the list, namely the four cardinal and three theological virtues.
This collection makes a new, profound and far-reaching intervention into the rich yet little-explored terrain between Latin scholastic theory and vernacular literature. Written by a multidisciplinary team of leading international authors, the chapters honour and advance Alastair Minnis's field-defining scholarship. A wealth of expert essays refract the nuances of theory through the medium of authoritative Latin and vernacular medieval texts, providing fresh interpretative treatment to known canonical works while also bringing unknown materials to light.
This essay aims to show how one remarkable practitioner of vernacular scholastic literary theory, Reginald Pecock (d. c. 1361), Bishop of Chichester, deployed it to service diverse orders of worth in his works by at once upending and apparently re-accepting authorised ecclesiastical discourses, including the Ten Commandments, the Apostles’ Creed and orthodox definitions of God as creator or as infinite. Focusing especially on the theoretical category of ordinatio, it investigates how Pecock both upsets and re-accommodates such discourses in places where the articulation and control of spiritual authority in this world and the tapping of divine authority from the next were at stake. In both his rejection of standard doctrinal discourses and his (re)accommodation of them in his own new system, Reginald deploys a full repertoire of scholastic terms, practices and attitudes. Pecock’s novel and astoundingly ambitious reconfiguration of Christian knowledge and doctrine was a gargantuan programme, endeavouring to efface and outdo traditional discourses of the Church whilst at the same time taking pains palpably, even anxiously, to be equivalent or answerable to that which it would displace. Pecock, in attempting re-cognition of the familiar, ended up recognising it dissonantly within his own unfamiliar discourse.
The mystic and hermit Richard Rolle (d. 1349) claimed the authority to interpret biblical texts, to add his understandings of their meanings to the received and authoritative interpretations of the Fathers of the Church. This chapter takes up the question of how Rolle understood his own authority as an exegete and how his various explorations of this topic, across his many writings, in Latin and Middle English, compare to the theories of his contemporaries in Oxford and Cambridge, their understandings of how scholastic exegetical authority relates to the inspiration enjoyed by patristic interpreters and, ultimately, to the authors of the Bible itself. Rolle’s theoretical musings have much more in common with this scholastic material than has previously been appreciated, putting pressure on unfortunately persistent binaries of the devotional, affective or mystical, on the one hand, and, on the other, the scholastic or intellectual traditions of medieval Christianity.
This essay reads the Roman de la Rose as taking up Ovid’s playful association of sex with the origins of human society. Jean de Meun’s Rose returns repeatedly to the narration of political origins – the fall from a Golden Age – imagining an idyllic communal past before it was shattered by conflict over wealth and women. These stories frame erotic desire as inevitably linked to the law and to possession, associating eros with desire for private property. I argue that Aristotle’s Politics functions as an unacknowledged literal referent that troubles the poem’s allegorical treatment of justice and social origins. Whereas Golden Age fables typically speak in unmarked terms about human comity and common possessions, Aristotle and medieval Aristotelian commentaries speak in terms of gendered power dynamics, masculine ownership and the fate of women as property. The Rose reveals the literal truths of scholastic philosophy to be in conflict with mythic truth, while anatomising the necessarily gendered dynamics of human sociality. In a political sphere in which women are considered in the same category as property, the heterosexual desire for possession will always be political. The Rose also leads us to consider whether the political, in turn, is always erotic.
In this book, Lydia Schumacher challenges the common assumption that early Franciscan thought simply reiterates the longstanding tradition of Augustine. She demonstrates how scholars from this tradition incorporated the work of Islamic and Jewish philosophers, whose works had recently been translated from Arabic, with a view to developing a unique approach to questions of human nature. These questions pertain to perennial philosophical concerns about the relationship between the body and the soul, the work of human cognition and sensation, and the power of free will. By highlighting the Arabic sources of early Franciscan views on these matters, Schumacher illustrates how scholars working in the early thirteenth century anticipated later developments in Franciscan thought which have often been described as novel or unprecedented. Above all, her study demonstrates that the early Franciscan philosophy of human nature was formulated with a view to bolstering the order's specific theological and religious ideals.
After an introductory excursus on the concept of the inns as early modern England’s third university, this chapter outlines the form of legal instruction which they provided by means of oral ‘learning exercises’, notably case-putting in moots and other exercises involving the argument of hypothetical cases in law,and ‘readings’ or lectures at both the inns of court and chancery.
The second section (‘The State of the Learning Exercises to 1640’) considers the supposed decline in the performance of exercises. It argues that even though they may have been rendered largely obsolete by the advent of the printed law-book, there is little to suggest that they were not generally performed in a conscientious and regular fashion before the outbreak of the civil war. But it was one thing to preserve the system as a going concern, quite another to revive it after the disruptions of the 1640s and ‘50s.
In this book, Stewart Clem develops an account of truthfulness that is grounded in the Thomistic virtue of veracitas. Unlike most contemporary Christian ethicists, who narrowly focus on the permissibility of lying, he turns to the virtue of truthfulness and illuminates its close relationship to the virtue of justice. This approach generates a more precise taxonomy of speech acts and shows how they are grounded in specific virtues and vices. Clem's study also contributes to the contemporary literature on Aquinas, who is often classified alongside Augustine and Kant as holding a rigorist position on lying. Meticulously researched, this volume clarifies what set Aquinas's view apart in his own day and how it is relevant to our own. Clem demonstrates that Aquinas's account provides a genuine alternative to rigorist and consequentialist approaches. His analysis also reveals the perennial relevance of Aquinas's thought by bringing it to bear on contemporary social and ethical issues.
In providing a new foundation for natural law and thence political authority, Pufendorf engaged in a major and explicit reconstruction of the discipline. Scholastic natural law derived the law of nature from a prior nature held to contain norms for moral and civil conduct; for example, from a divine nature whose will imprinted the human will, or a rational nature that was supposed to guide the will, or from humanity’s supposedly sociable nature as the source of the key norm of sociality. Pufendorf’s radical intervention into this field lay in his declaration that since it had been “imposed” or instituted as a “moral entity” by God for unaccountable reasons, human nature was not itself normative, rationally or socially. Rather, as a set of given conducts and predispositions—seen most clearly humanity’s paradoxical need for co-operation in order to survive and its ineradicable proclivity to envy, malice and mutual predation—human nature supplied only the observable basis from which it was possible to deduce the natural law: that man should cultivate sociality as a disposition needed for security and social thriving. This formed the basis for political sovereignty as the unchallengeable deployment of civil power required to obtain social peace and security.
With the new millennium, papal power sought to restore Christian rule in the Holy Land through a series of eight crusades, but these campaigns were military and political failures, especially at the expense of the Papacy. However, they did succeed in opening the way for the scholarship of the Islamic world to enter western European intellectual life. With the founding of universities, new scholarship slowly emerged. The pioneering teachings of Pierre Abélard, Roger Bacon, and Albertus Magnus led to a revival of interest in the ancient writers with their emphasis on rational thought to secure human knowledge. This movement, called Scholasticism, reached its pinnacle with the writings of St. Thomas Aquinas who sought a reconciliation of Aristotle’s rationalism and Christian theology. A major implication of Aquinas’ success was the acceptance by scholars within the universities and the Church that both reason and faith serve as sources of human knowledge. William of Ockham extended the Scholastic movement and his predecessor Roger Bacon by presented a law of parsimony in scientific explanation, which in turn laid the foundation of empirical science.
This essay interprets Erwin Panofsky’s Gothic Architecture and Scholasticism of 1951 by situating the book within the Marburgian tradition of neo-Kantian philosophy. To do so, Panofsky’s relation to Marburgian neo-Kantianism is first contextualized and explicated, specifically by way of his well-known relationship to Ernst Cassirer and his own programmatic statements about art historical method. With this foundation in place, Panofsky’s specific claims in Gothic Architecture and Scholasticism are positioned as an attempted art-historical translation of the Marburgian commitment to ground knowledge on underlying structures of knowledge. Panofsky’s effort in this regard is shown to relate to nomological traditions of scholarship, wherein covering laws are an express and essential aim of research. Interpreting Panofsky’s argument in this way helps clarify the book’s uneven reception in the humanities, wherein an ideographic approach focusing on historical specificity for its own sake is a more accepted norm.
This chapter provides a detailed assessment of Walter Bailey’s medical genres in the vernacular and how they reflect changing thought styles from scholasticism to empiricism. The ongoing process is demonstrated by first-hand evidence obtained by analysing both macrolevel structural compositions of genres and various text types within them. Language change is located on the discourse level by identifying stylistic varieties, showing the mechanism of change on the ideological level. Bailey belonged to the learned elite of his time and mastered a large repertoire of different genres and text types. He gives us convincing proof of the early transition period by employing old and creating new ways of writing. He developed the genre script of the scholastic commentary to unprecedented perfection in Peppers (1588), and innovated a new style of reporting on his experiments in Waters a year earlier. The passage anticipates the future way of doing and writing science, showing the author’s curiosity and inquisitiveness, qualities that are typically attributed to seventeenth-century Royal Society scientists. The new mode of knowing surfaces passim in his other texts too, where observation of nature is preferred to book wisdom.
This chapter views the relationship of humanism to medieval school traditions through the prism of Erasmus, the most outspoken and influential critic of the schools among those who embraced the “new learning” in the early sixteenth century. On close examination, the case of Erasmus suggests a less dichotomous view of intellectual change than polemical rhetoric can imply. The choice between humanism and scholasticism was not absolute. Erasmus illustrates how the new learning aggregated itself to old methods and traditions in theology, without necessarily replacing them.
Peirce’s early essays have been thought to frame a grand system later developed more fully (’On a New List of Categories’, 1867) and to provide some of that system’s details (the theory of cognition sketched in three 1868–1869 papers). But the formal structure limned was later understood differently: it is an enduring system in appearance only. These essays suggested though they did not consistently express a conceptual idealism in which true thoughts are distinguished from reality by nothing but their incompleteness – a view later contradicted. Yet, with intentional irony, those same essays were in method empirical. Many have damned Peirce’s writings as fragmentary and contradictory, but these would be faults only were he a system-builder. Instead, his conjectures posed obvious problems and were meant to invite inquiries along diverse and mutually inconsistent lines, in which additions and refinements might be made by which those problems can be solved.
The Mamluk Sultanate ruled Egypt, Syria and the Arabian hinterland along the Red Sea. Lasting from the deposition of the Ayyubid dynasty (c. 1250) to the Ottoman conquest of Egypt in 1517, this regime of slave-soldiers incorporated many of the political structures and cultural traditions of its Fatimid and Ayyubid predecessors. Yet its system of governance and centralisation of authority represented radical departures from the hierarchies of power that predated it. Providing a rich and comprehensive survey of events from the Sultanate's founding to the Ottoman occupation, this interdisciplinary book explores the Sultanate's identity and heritage after the Mongol conquests, the expedience of conspiratorial politics, and the close symbiosis of the military elite and civil bureaucracy. Carl F. Petry also considers the statecraft, foreign policy, economy and cultural legacy of the Sultanate, and its interaction with polities throughout the central Islamic world and beyond. In doing so, Petry reveals how the Mamluk Sultanate can be regarded as a significant experiment in the history of state-building within the pre-modern Islamic world.
The presentation of portraits of emperors and saints in Byzantine art can be compared to theories of physiognomy and logic put forward by Aristotle and his Byzantine followers. Similar observations have been made about the portal sculptures of High Gothic cathedrals, but although the ordering of images in the two cases reflected similar patterns of thought, the particular forms of the portraits differed in each milieu, responding to a different relationship between images and the faithful in each society.
With both the role of professionalization in the second decretal age, and the divergence between canon law and theology, contingency must be given its due, as against an assumption that the separation of theology from a canon law which was professionalized and based on papal decretals was in any way inevitable. Decretals and professionalization were indeed integrated in Western Europe around 1200, and in a different intellectual sphere from university theology, but there was no necessity about it. Without the legacy of the first decretal age, there might never have been a second decretal age, though there would surely have been a system run by academically trained lawyers. Similarly, there was no necessity about the separation of canon law from theology. A change of theological fashion is part of the explanation, but so too is the direction in which the Breviarium of Bernard of Pavia pointed the system. Bernard was the Dionysius Exiguus of his age.
Theology derives from the Greek word “theologia,” literally discourse about God. For most of the Middle Ages, it referred solely to the study of the divine nature. During the course of the twelfth century, however, the term acquired a more expansive meaning. Under the systematizing and system-building impulse of scholasticism, theology came to refer to the study of almost anything related to God’s activity in creation and salvation. Angels, ethics, last things, and a whole host of other subjects came to fall under its purview. For the anonymous author of the Summa “Antiquitate et tempore” even canon law counted as a form of theology, but many of his contemporaries thought otherwise and, in the end, it was their more restrictive understanding that prevailed. Hostiensis’ (d. 1271) claim that canon law could be called a form of theology because it was of divine rather than human origin, which elicited much criticism from later canonists like Johannes Andreae and Panormitanus, is the exception that proves the rule. The terms “theology” and “canon law” eventually came to refer to distinct – even rival – academic disciplines.
This chapter argues that contemporary claims about what empiricist history can offer international law are part of a longer tradition. A particular vision of law and figure of the lawyer have been central to claims made by empiricist historians of political thought for at least a century. The chapter focuses on four influential scholars whose work has influenced the method debates in international law – Herbert Butterfield, JGO Pocock, Quentin Skinner, and Ian Hunter. It traces the figure of the lawyer as apologist for power that reappears in their texts and against which their historicizing methods are staged. While the figure of the lawyer appears in different guises – as Whig constitutionalist for Butterfield, English common lawyer for Pocock, Italian scholastic lawyer for Skinner, and Prussian natural lawyer for Hunter – in each narrative the lawyer functions as the foil for a new heroic figure. That figure, the historicizing humanist, arrives on the scene to offer an anti-metaphysical challenge to the oppressive authority of received tradition. This chapter situates debates over the turn to method in international law within that longer story, in which historians are able to take up their preordained place as radical disrupters of orthodoxy.
This chapter discusses the thought of Juan Luis Vives, who was a prominent voice in sixteenth-century debates on language and learning between humanists and scholastics. The chapter shows that, like Valla, Vives presents himself as a defender of common language and common sense. The notion of “common” turns out to be ambiguous. As the chapter makes clear, in most contexts the common language is Latin, but in Vives’s attacks on what he considered the linguistic and dialectical aberrations of his scholastic opponents, common language could also mean the usage and conventions of any linguistic community. Though his critique focuses on the Latin of his opponents, the point is sometimes phrased in terms that go beyond this particular language. This critique of scholastic language is part of a wider reform of language and learning that Vives thinks is necessary. The chapter therefore examines his views on the origins of language, its functions and purposes, and the role he assigns to the topics (loci) in thinking and argumentation. It is suggested that for Vives the topics form a grid through which we structure our thought and speech.