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Although often associated with colonial times, tropical plantations growing industrial crops such as rubber, sugar, and oil palm are once again expanding. They employ hundreds of thousands of workers, who still use remarkably basic tools. Flagging colonial continuities, labor activists campaign against the reemergence of unfree labor and “modern forms of slavery.” Paradoxically, labor activists also highlight the opposite problem: the casualization of plantation work, as workers are hired daily and fired at will. Recognizing that both “free” and unfree labor regimes have a long history in Indonesia, and plantations have pivoted between these modes more than once, my study compares plantation labor regimes in the colonial, New Order, and “reform” periods (post-1998) to answer three questions. First, given that employers always want to access disciplined labor at the lowest possible price, what were the conditions that led employers to rely on unfree labor in some cases, and “free” labor in others? Second, to what extent was unfreedom imposed as a response to excessive freedom among workers and peasants? Third, how were the costs of social reproduction distributed between workers and employers, and what pressures from workers or regulators (state, colonial, transnational) affected this distribution? In addition to published sources, I draw on my ethnographic research in West Kalimantan (2010–2015) to explore contemporary experiences of un/freedom among workers on state and private oil palm plantations.
This article develops a theory of interdisciplinarity and examines relations between historians and sociologists in Germany and France over the course of the twentieth century, focusing in on several key moments of interdisciplinary activity. Interdisciplinary engagements are motivated by scholarly problems, field-specific interests and battles, and pressures and inducements coming from states, businesses, and scientific institutions. Analysis of the most productive moments of cross-disciplinary interaction suggests that they occur when disciplines are equal in power and when scholars are motivated by scholarly problems and disciplinary conflicts to move beyond their disciplines. More generative forms of interdisciplinarity are dialogic and processual, characterized by a fusion of perspectives; less productive forms are externally induced, involve asymmetrical partners, and are organized around division of disciplinary labor rather than an interpenetration of perspectives. The most productive interdisciplinary conjunctures result from serendipitous resonances and contingent synchronicities between subfields of semi-autonomous disciplines. It is thus impossible to produce the most fruitful forms of interdisciplinarity deliberately. The article examines three cases of symmetrical, processual interdisciplinarity involving sociology and history. Two of these cases were located in the French academic field, first between the wars, and then again after 1980. The other case of dialogic collaboration between historians and sociologists begins in Nazi Germany and continues after 1945 into the 1960s, leading to the formation of West German Historische Sozialwissenschaft. Examples of unbalanced interdisciplinarity include German “History-Sociology” during the Weimar Republic, in which sociologists’ opening to history was not reciprocated by professional historians and Historische Sozialwissenschaft after 1970.
This paper uses documents generated by the 1594–1595 composiciones de tierras in Cuzco, Peru, to discuss the economic transformation of the former heartland of the Inca Empire and the impact of Spanish administrative policies implemented in the early 1570s. The diverse social and environmental landscapes of rural areas lying to the west of Cuzco provide a range of local case studies that reveal how settlement and tribute policies of the viceroy Francisco de Toledo failed to produce sustainable colonial towns of Christian Indians. Detailed records of indigenous land repartition in the area show gender- and status-based patterns of individual allocations, as well as ecological differences in landholding between communities. The local records indicate the continuing importance of Inca-era community identities and local leadership for maintaining possession of community lands. By contrast, documents related to the composiciones among private landowners reveal vast inequalities in land access, as well as the rapid growth in the demand for indigenous labor to produce important agrarian commodities. We argue that Spanish administrative policies accelerated the transformation of the means of production in rural Cuzco, creating peasants instead of Christian Indian subjects.
Extant South Asian histories of race, and more specifically biometrics, focus almost exclusively upon the colonial era and especially the nineteenth century. Yet an increasing number of ethnographic accounts observe that Indian scientists have enthusiastically embraced the resurgent raciology engendered by genomic research into human variation. What is sorely lacking is a historical account of how raciology fared in the late colonial and early postcolonial periods, roughly the period between the decline of craniometry and the rise of genomics. It is this history that I explore in this article. I argue that anthropometry, far from being a purely colonial science, was adopted by Indian nationalists quite early on. Various distinctive shades of biometric nationalism publicly competed from the 1920s onward. To counter any sense that biometric nationalism was teleologically inevitable, I contrast it with a radical alternative called “craftology” that emerged on the margins of formal academia amongst scholars practicing what I call “vernacular anthropology.” Craftology and biometric nationalism continued to compete, contrast, and selectively entangle with each other until almost the end of the twentieth century.
Connections, circuits, webs, and networks: these are concepts that are overused in today's world histories. Working from a commitment to reflexive historicization, this paper points to one moment in the consolidation of these terms: the late nineteenth- and early twentieth-century visual politics of “new imperialism.” Utilizing photographs, engravings, postcards, letters, and colonial documents, the paper argues that connection was mesmerizing and can still mesmerize the historian. Being connected became possible because of visual and infrastructural projects that allowed the production and consumption of lines that literally cut sea and land. At a time of high empire, and in accordance with the dictates of Imperial Geography, particular locales or “nodes” were thus positioned in the “global.” To mount this critique of our language, the paper focuses on the infrastructural development of the port of Colombo, alongside the thinking of Halford Mackinder, the building of breakwaters in Colombo, the arrival of mass tourism, projections of capitalist improvement for the business of transshipment, and the use of the port by Indian laborers on their way to Ceylon's highland plantations. By attending to the place where connection is wrought, its material workings, and its traces in the visual, intellectual, and capitalist archive, it is argued that connectivity's forgettings and displacements come more forcefully into view. If connection had an evacuating character and could be so imperialist, what of its status in our writings?
The conflict in Palestine has been the subject of numerous international investigative commissions over the past century. These have been dispatched by governments to determine the causes of violent conflicts and how to resolve them. Commissions both produce and reflect political epistemologies, the social processes and categories by which proof and evidence are produced and mobilized in political claim-making. Using archival and ethnographic sources, my analysis focuses on three investigative commissions: the King-Crane (1919), Anglo-American (1946), and Mitchell (2001) commissions. They reveal how “reading affect” has been a diagnostic of political worthiness. Through these investigations, Western colonial agents and “the international community” have given Palestinians false hope that discourse and reason were the appropriate and effective mode of politics. Rather than simply reason, however, what each required was maintenance of an impossible balance between the rational and the emotional. This essay explores the ways that affect as a diagnostic of political worthiness has worked as a technology of rule in imperial orders, and has served as an unspoken legitimating mechanism of domination.
This book studies family life and gender broadly within Italy, not just one region or city, from the fourteenth through the seventeenth centuries. Paternal control of the household was paramount in Italian life at this time, with control of property and even marital choices and career paths laid out for children and carried out from beyond the grave by means of written testaments. However, the reality was always more complex than a simple reading of local laws and legal doctrines would seem to permit, especially when there were no sons to step forward as heirs. Family disputes provided an opening for legal ambiguities to redirect property and endow women with property and means of control. This book uses the decisions of lawyers and judges to examine family dynamics through the lens of law and legal disputes.