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Historians have long used the archives of major institutions to shed light on medieval society, but in more recent decades the focus has turned towards the proliferation of legal documentation possessed by those lower down the social order and the increasing penetration of legal processes into their everyday lives. Yet, in recapturing this world, there is a danger that we take for granted the immense documentary power of a large institutional repository. This article follows several legal conflicts across the fourteenth and early fifteenth centuries involving the monks of Durham Priory to demonstrate the extent of this archival culture, showing how they turned to their vast array of documentary evidence for information about those who had incurred their wrath. Using their archives, they traced the descent of holdings, the offices held by key individuals, and previous payments in account rolls, all in a bid to demonstrate their rights, the ‘abuses’ of officials, and to counter legal opposition. Not content, the monks then compiled this evidence into an alternative narrative of events that questioned previous legal proceedings and ceremonies, constructing an institutional memory that saw contradictory documentation as ‘entirely most falsely forged’.
This article analyses a significant sample of theft cases tried in the appellate courts of the parlements of Paris and Toulouse from the mid-sixteenth century to the end of the seventeenth century. Despite some historians’ claims that theft was typically overlooked or settled informally, and that property crime only became a major social problem because of the rise of industrial capitalism in the eighteenth century, this article argues that French subjects did take theft seriously in this period, even if that meant subjecting it to ridicule in cultural productions such as Molière’s celebrated play The Miser.
This article firstly advances a methodological critique of Hans-Joachim Voth's influential study of labour input during the English industrial revolution, arguing that Voth's ingenious and potentially widely applicable method of inferring time-use from court testimony has flaws such that at least the absolute figures yielded are likely unreliable. Secondly, with the method's deficiencies in mind, this article applies a version of it to the Old Bailey court records in order to examine change in women's working time in London between the 1750s and 1830. Results include that women in London did not observe Saint Monday even in the 1750s, and that the time that women in London spent in paid work increased only slightly between the 1750s and 1830.
This article explores historical and legal approaches to past society, asking what each has to offer the other. Using early modern midwives’ oaths as a case study, it examines the extent to which the law shapes everyday life and society, and vice versa allowing us to situate early modern midwives at the intersection of a number of important and competing seventeenth-century institutions including state, church, society, and profession. We argue that a historico-legal approach to the practices of seventeenth-century midwives demands a reconsideration of the historiography of medical ethics and of the professions more broadly. It situates midwives as holders of formal office, and agents of the emergent early modern state and encourages reflection on the nature of ethical practice, and professional regulation within their social, cultural, and political context.
Histories of Third Worldism have received renewed attention from historians in the past decade. Much of the resulting scholarship has focused on the international to the exclusion of the national. This article addresses this relative neglect by focusing on a particular iteration of Third World nation-state-building: co-operative socialism in Forbes Burnham's Guyana. Refuting the argument that co-operative socialism was imitative and implemented for reasons of political expediency only, the article contends that Burnham's doctrine should be regarded as a meaningful attempt at remaking Guyana's society and economy through its core principles of self-sufficiency, self-reliance, and self-discipline. These principles gave rise to a specific conception of citizenship in 1970s Guyana, where the People's National Congress (PNC) sought to link political belonging and participation with a moral ethic premised on the notion of hard work in service of the nation. The article examines how this collectivist understanding of citizenship gave rise to a particular set of struggles at the turn of the 1980s, as the co-operative republic began to collapse. What emerged from these struggles was an alternate but parallel imagining of citizenship espoused by the Working People's Alliance (WPA), which rejected the PNC's vanguardism in favour of empowering the Guyanese people through the creation of non-hierarchical systems of collective authority. The article concludes by arguing that the failure of the WPA's attempt to overthrow the PNC through popular revolt signified the ends of decolonization and Third Worldism in the Caribbean, and the beginnings of new struggles against new forms of coloniality in the guise of the emerging neoliberal and good governance agendas.
This work examines and compares courtship and marriage patterns that occurred between France and the United States during the nineteenth and twentieth centuries. Departing from state-centered studies of marriage law, it draws on the methodologies of transnational history, cultural history, and the history of emotion to show that these unions were part of a broader pattern of the larger cultural love affair between the two societies.
Campaigns on behalf of Russian political prisoners stretch from the revolutionary “nihilists” of the 1880s to the dissidents of the 1970s. While the efforts of political émigrés and their Western sympathizers – to promote awareness, raise funds, and pressure governments – met with decidedly mixed success, there were several watershed moments. This article examines how one such breakthrough, the compilation and publication of Letters from Russian Prisons in 1925, resulted in the formation of the International Committee for Political Prisoners (ICPP) as the first ever transnational amnesty NGO. Along with 300 pages of harrowing accounts of Soviet prisons, camps, and exile, the book featured endorsements by “Twenty-Two Well-Known European and American Authors”. The disputatious process of this volume's compilation and the controversy greeting its issuance show the challenges of extending civil liberties advocacy to include criticism of the Soviet Union among left and liberal figures in the interwar period. In establishing a new field of endeavor – universalist transnational activism to aid political detainees – the ICPP navigated a complex network of relationships among a diverse array of political and intellectual figures.
Is Sinhala caste simply a weak regional variant of Hindu caste or is it something else entirely? This essay argues that Sinhala caste as found in the territory of the former Kandyan Kingdom has had a distinctive ontology and retains its unique character. The essay begins with an overview of textual, genetic, and archaeological evidence for the origins of caste on the subcontinent. It then turns to the island and the fourth century CE bifurcation of Sinhala society into “high” and “low”; this duality’s persistence into the second millennium CE; its elaboration in the Kandyan Kingdom’s bureaucratic political economy; and the dissonance between this Sinhala “cartwheel” model of collective inequality and the Brahmanical “ladder” of colonial powers and the Sinhala elite. The essay concludes by examining how the ongoing discordance between these two models of Sinhala caste plays out in people’s lives through a case study of a non-elite caste community.
How can historians of “small spaces” and cities focus on local events and issues and at the same time carry on conversations with peers in a disciplinary mode marked by the spatial expansiveness of global history, on one hand, and a focus on objects and individuals of microhistory on the other? At stake here are key questions connected with the intellectual value of place-based knowledge and detailed single-site historical case studies. I argue that as long as we are caught between the positivist idea that causal regularity and time-place independence of explanatory mechanisms are the hallmark of theory, and the postmodernist resistance to generalizations, histories of cities and other small spaces will suffer from “defanged empiricism.” This problem is particularly debilitating for non-global histories of small spaces and cities of the global South, which often “do not travel well.” Is there a way out? I argue that a critical engagement with the stratified ontologies of critical realism— in particular, a version that I call “soft critical realism”—and Charles Tilly’s “deep order” can enable historians of small spaces and cities to re-situate their research at the heart and center of social theory, and simultaneously strike a better balance between attention to local details, the narrative form, and engagement with larger processes, concepts, and theories. Finally, I concretize the discussion by offering the example of how my own research on late colonial and early postcolonial Calcutta has benefitted from this approach.
This article explores the influence of worker resistance to Taylorism on industrial relations in Sweden. By analysing archival material from workers at the Separator Corporate Group, the Metal Workers’ Union, and the Swedish Trade Union Confederation, this article highlights the interplay between shop floor activism, discussions within trade unions, and central labour market relations. It demonstrates how rank-and-file activism compelled union leadership and the central labour market organizations to adopt a series of agreements in the 1940s aimed at addressing worker resistance to Taylorism.
Despite worker discontent, scientific management spread during the 1930s and 1940s. This eventually contributed to the Metal Strike of 1945, which had significant impact on labour–capital relations. According to the metal workers, scientific management, particularly time-motion studies, reduced their bargaining power by concealing labour processes and methods for wage determination, thereby allowing management a monopoly on knowledge.
Following the strike, negotiations between the Trade Union Confederation and the Swedish Employers’ Association resulted in the 1948 Work Studies Agreement. This agreement provided a platform for resolving conflicts and encouraging workers’ support of rationalization via the Work Studies Council. Worker resistance consequently drove Swedish labour market centralization, inadvertently promoting closer labour–capital cooperation.
This article argues, among other things, that although worker resistance failed to upend scientific management, it resulted in it being regulated within a corporatist framework. This highlights the important historical role local trade union activism has played in shaping labour market institutions and the broader political economy.
What qualifies as a political event is a core question for social and historical research. This article argues that the use of temporal structures in narratives of political and social developments contributes significantly to the making and unmaking of events. We show how arguments that draw upon history play a particularly important role in transforming the everyday unfolding of politics into discernable events with a clear time bracket. Through this lens, we investigate the 2016 Brexit referendum as an event that has triggered extensive debates about both Europe’s experiences of the past and political expectations for its future. Conflicting assessments of history are crucial for understanding how and when Brexit became an event of European significance and why it then ceased to be so. This case also enables us to distinguish more clearly between the agent-centered focus on the event itself, and the analytical ex-post assessment as a critical juncture. Methodologically, the article demonstrates the value of a multi-perspective approach for qualitative analyses with a focus on Brexit narratives articulated across several EU countries and the United Kingdom.
Between the end of World War I and the Mecca World Muslim Congress of 1926, Soviet officials and Indian Muslim thinkers imagined the possibilities of a post-imperial world through the Hijaz. The All-India Khilafat Committee (AIKC; established 1919), an organization led by prominent Indian Muslim thinkers, and the Soviet Union promoted competing projects to protect the Hijaz, home to some of Islam’s holiest shrines, against European imperialism. Yet, far from limiting themselves to the question of who should rule the Hijaz, the AIKC and the Soviet state engaged in broader debates about religious and social difference, sovereignty, and minority rights. Whereas the AIKC imagined the Hijaz as an international Muslim republic and a place of refuge for Muslims worldwide, Soviet officials contended that the political future of Muslims should only be settled within the framework of ethno-territorial nation-states. Ironically, the programs of both the AIKC and the Soviet state denied the right of self-determination to Hijazis themselves, leaving the region’s inhabitants to choose between two forms of external oversight: a Soviet-supported Saudi ethno-territorialism or limited domestic autonomy under the management and inspection of an international Muslim Council. With very few exceptions, past scholarship on the Hijaz in this period has analyzed the region’s political fortunes through Saudi statecraft or European colonial influence. However, Soviet and Indian Muslim experimental engagement with the Hijaz ultimately proved just as crucial to the consolidation of Saudi governance over the region. The article arrives at these novel insights by bringing rare Soviet archival documents together with the Urdu proceedings of the AIKC’s delegation to the Hijaz, as well as Arabic sources from the period in question.