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In 1833, Rammohun Roy, the so-called “Father of Modern India,” died abruptly while traveling in England. Because cremation was then illegal in Britain, he was buried rather than immolated according to brahminical norms. This article situates the micro-history of his colonial corpse within the genealogy of secularism. I take secularism as a formation of the body in the most morbidly literal of ways—fused to embodied formations of race, caste, class, and gender and entangled with the transcolonial networks of nineteenth-century heterodoxy. Roy’s ritually indeterminate flesh was a site for cultural improvisation around a Victorian-colonial secularity formed in and through the body.
This article traces the fraught history of the file system’s adoption by the Japanese Public Prosecutor’s Office (PPO) from the late 1940s to the early 1950s, when the U.S. General Headquarters (GHQ), the Supreme Commander for the Allied Powers, decentralized the PPO’s power and transformed it into a “democratic” judicial agency. This is also a postwar history of the introduction of Taylorism-derived scientific management to white collar office work and Weberian visions of bureaucratic rationality into government offices, as part of the democratization of public administration steered by various sections within GHQ. Among the key changes was a guarantee of the right to receive a “speedy trial.” The essay argues that, while that guarantee was meant to secure human-rights protections for the accused, the file system introduced to the PPO translated the constitutional imperative of the rights of the accused into the pursuit of efficient scientific management, in which democracy was an operationalized socio-technical achievement. This logistical channel led to the co-emergence of democracy and modern rational bureaucracy, with each evincing mutual cause and effect. American reforms invested technicality with the promise of “democracy,” but as this essay shows, senior Japanese officials envisioned it as a means to rebuild a centralized information network.
From Iran and Mozambique to France’s Gilets jaunes, consumer energy protests are ubiquitous today. Little historical scholarship has so far explored such “fuel riots,” the problematic moniker bestowed by contemporary policy scholars. This article argues for disaggregating the homogenous crowd of so-called rioters, instead analyzing why particular socioeconomic groups persistently take to the streets. To do this, it sketches an energy-centered approach to class with both structural and subjective axes. This analytic is applied to a comparative history of two of the best-documented energy protests of the last half-century. During the 1970s, independent truckers blocked American highways to protest the high price of motor fuel. A decade later, half a million North Indian farmers mobilized to demand cheaper and more reliable electricity. Half a world apart, the two movements shared key characteristics. They were the expression of specific class fractions whose material interests were conditioned by heavy dependence on state-mediated energy supplies. Awkwardly located between big capital and wage labor, both truckers and farmers owned stakes in the carbon-intensive means of production that left them exposed to volatility in energy quality and pricing. Both mobilized in reaction to perceived breaches of state-centered moral economies of energy which threatened this dependence, leveraging their power to interrupt supplies within the circulatory systems of fossil fuel society. Even as both movements failed in their own terms, their political resistance helped to lock in place consumer subsidies for cheap carbon-intensive energy. Such energy protests deserve a central role in our environmental histories of fossil fuel society.
Revivals of public interest in the Neolithic Near East have generally coincided with the emergence of powerful imagery, such as the discovery of Çatalhöyük’s striking wall paintings in the 1960s. Now, sixty years later, the sculptures of Göbekli Tepe are ensuring the period’s widespread appeal. The capacity of these well-preserved buildings to carry such imagery until today has made them, in turn, an image of the supposed achievements of Neolithic sedentism. But the popularity of these images depends on their decontextualization. This modernist notion that permanent architecture represents the conquest of spatial forms over time is in contradiction with the early Neolithic experience of settled life, which had more to do with the unstable duration of places than with an emancipation from motion. This essay explores the Neolithic preference for earth architecture over more stable construction materials such as stone, its influence on visual culture, and how it contributed to building new living relations to the inhabited landscape. Instead of the sense of fixity and completeness that we, moderns, desperately seek in plans, reconstructions, and monumentality, it is the very transience, repetitiveness, and cumulativeness of earth that determined the transformations of the archaeological record. In other words, rhythms are key to understanding Neolithic sedentism in ways that differ wildly from the static images we have substituted for it.
This article analyses taxation practices in colonial, post-colonial rebel-led, and independent South Sudan and argues that the ethos of taxation in the region has been and remains primarily oriented around predatory and coercive strategies of rule. This overarching pattern endures because the fundamental structure and rationale of revenue-raising practices, which collectively constitute South Sudan’s revenue complex, have not changed since at least Anglo-Egyptian occupation of the region in 1899. The paper explains how tax collecting as predation began when the first colonial administration deployed taxes to acquire loyalty from customary authorities such as chiefs and sheikhs, who personally benefitted from their taxation powers. From the early 1960s to 2005, armed groups in the region periodically fought against Khartoum-led rule, and rebels extorted taxes from the population to help fuel their war efforts. Taxes in today’s South Sudan, which acquired independence in 2011, are not collected to raise revenue except to pay off the individuals collecting them, and they continue to generate predation. The rise of international aid and windfalls from oil revenues have further diminished taxation’s financial significance for the national government and have altered local authorities’ coercive demands for payment. The portrait that emerges from the practices of South Sudan’s successive war-makers and state-makers is one of taxation wielded as a technology of rule, one of coercion and often extortion, to fulfil the self-interests of tax collectors. The article is based on archival research in Sudanese and South Sudanese national archives, British colonial archives, and 205 interviews conducted in South Sudan.
Drawing from publications by Swami Achutanand and the Adi-Hindu Mahasabha press between 1916 and 1940, this article examines the role of this north Indian Dalit organization in creating language and categories of liberalism in the Hindi vernacular. The Mahasabha poet-activists published numerous song-booklets in a variety of Hindi song genres to intervene in ongoing discussions on the subjects of representation and equality which they characterized as mulki-haq and unch-niche. Histories of liberties in late colonial India have typically examined its emergence within dominant Hindu and Muslim middle-class groups. This article uncovers the unique contributions of Dalit poet-activists who recognized the value of liberal ideas and institutions in challenging caste and abolishing “Manu’s Kanun” (lawgiver Manu’s Hindu law codes). It highlights the methodological importance of mohalla (neighborhood) sources usually located in Dalit activists’ houses in untouchable quarters. The chapbooks found in mohalla collections have enabled the writing of a new history of the Mahasabha’s activism and of the initiatives taken by poet-activists in founding a new Dalit politics in northern India. I explore the emergence of a Dalit literate public which sustained the activities of the Mahasabha and which responded with enthusiasm to its articulation of the new social identity of Achut (untouched) and a new political identity of Adi-Hindus—original inhabitants of Hindustan (India). Offering a new methodological approach in using mohalla sources and song-booklets composed in praise of liberal institutions, this essay makes a significant contribution to the recovery of a forgotten Dalit public sphere in early twentieth-century India.
Scholarship on the political economy of natural resources in the Global South has often relied on the concept of the “resource curse” to explain the negative features of extractive economies and their alleged tendency to promote rent capture at the expense of national sovereignty and development. Such theories link the behavior of social actors to an excess of “unearned income,” with little reference to the concrete forms of political and cultural mediation that reproduce this structure of growth. This article explores the role of the devil symbol in populist discourse in Venezuela and how this spectral figure comes to mediate subaltern consciousness. Tracing the origins of this image to colonialism and efforts to grasp the dynamics of the modern petrostate, the analysis shows how use of this symbol to mediate the forecast transition from a rentier to a productive economy has given workers in a state enterprise a potent set of signs to articulate opposition to unjust labor conditions. Venezuelan leaders have deployed figures drawn from local folklore to divide society into two competing power blocs. Yet, while these discourses are effective at forging coalitions and justifying specific reallocations of oil wealth, they do not obviate the tensions of this transition, and a counternarrative using these same figures has arisen in response. The article concludes with an analysis of parallels between global theories of the resource curse and local Venezuelan iterations of this discourse as well as a discussion of the role of translation in theories of culture and modernity.
When scholars have compared “African traditional religion” and “Western science,” they have often treated the terms of this comparison as racialized unitary entities, which are either radically different or somewhat similar (even as Western categories of rationality or nature remain the basis for these comparisons). This essay unsettles these assumptions by focusing on practices that are called “science” in the fields of both petroleum geology and Afro-Caribbean religion. Based on long-term ethnographic research in Trinidad, arguably the world’s oldest site of commercial oil extraction, I show how internal differences between those involved in “petroleum science” and “African religion” reveal a spectrum of meanings for the word “science” centered on relations to risk. At one end of this spectrum, science conveyed ideals of stable tradition that de-risked claims to knowledge for energy sector specialists intent on securing foreign investment or for “Yorubacentric” lineages of African religion centering initiation-based authority. At this spectrum’s other end, “science” foregrounded the risks of accessing hard-to-perceive forces in petroleum exploration or “spiritual work.” By focusing on heterogeneous practices rather than cultural essences or ideals of rationality, I show how the ethical implications of “science” depend on differing experiences of the risks of working with subterranean powers. While petroleum surveys at my field site in Trinidad required embodied risks by laborers, geologists backgrounded these contexts of power, representing the risks of their work as a problem of scientific accuracy. Afro-Trinidadian spiritual workers, in contrast, foregrounded the embodied risks of science as the ground of ethical practice.
Research on psychiatry in the United States has shown how, since the 1980s, the discipline has sought to increase its prestige and preserve its jurisdiction by embracing biomedical models of treatment and arguing it is a medical specialty like any other. While this strategy is consistent with what the literature on professions would expect, this paper analyzes an alternative case: French public psychiatry, which has remained in a position of marginalized autonomy, combining low status and economic precarity with state recognition of its specificity. Drawing on Bourdieu’s theory of fields, I analyze how the persistence of specialized psychiatric hospitals in France—most of which have closed in the United States—has shaped the conflict between psychiatrists favoring autonomy and actors in university hospitals and the Ministry of Health seeking to reduce it. These specialized hospitals have functioned as institutional anchors that contribute to maintaining the discipline’s autonomous position in the medical field in three ways: by socializing psychiatrists into viewing themselves as a distinctive branch of medicine, linking psychiatry to powerful actors in the state interested in maintaining the discipline’s distinctive role in social control, and concentrating a population of chronically ill persons not amenable to traditional medical interventions. This analysis expands on the literature on professionals and field theory by emphasizing the role of institutions in structuring the reorganization of jurisdictions and relationships between fields.
This paper investigates how the members of the Kigye Yu lineage imagined and invented their ancestral roots during the Chosŏn dynasty (1392–1910) and how such a pursuit of ancestral origins led to subsequent developments in genealogical records. As early as the fifteenth century, Chosŏn elites began to show interests in genealogy that included identifying remote ancestors from ancient times for various political, social, and cultural reasons. From the seventeenth century, the transformation of kinship organization in line with the Confucian ideal of patriliny and elites’ competition for power and prestige intensified genealogical consciousness. Elites became heavily invested in searching for ancestral origins in the form of their lineages’ founders and their tombs. While claiming to rely on documentary and physical evidence, elites often deviated from their professed empiricism and adopted evidence from dubious sources such as oral testimonies and geomancy to rationalize invented ancestral roots. Such pliable approaches, often observed in other early modern cultures such as late imperial China and Europe, opened a floodgate of lineages glorifying their ancestry by pushing their origins back even to mythical founders of ancient Korean and Chinese kingdoms, and adorning their lineages with invented heroes. At the same time, loopholes and blank spots in genealogies enabled quasi- and nonelites to become a member of prominent lineages by grafting their names onto their family trees.
From the thirteenth until the 18th century, the county of Flanders knew a special citizen status for rural residents. Country dwellers, normally residing under the jurisdiction and fiscality of lordships, could register themselves as external citizens or ‘outburghers’. Outburghership has primarily been researched within the context of state building and urban studies. This contribution prioritizes the perspective of the countryside. Studies on premodern Flanders have shown that the counts and cities tried to undermine the power of local lords by providing as many seigneurial subjects as possible with fiscal and judicial exemptions to the lords’ justice and taxes. The accessibility of outburghership and its varying appeal along time and space has not been adequately researched. This study argues that the heyday of outburghership in Flanders was between 1300 and 1550. After 1600, outburghership endured as defence mechanism against seigneurial lordship until both institutions met their demise in 1795.
This article examines the removal of children from factories and their integration into the school system in the early nineteenth century, using decommodification as a conceptual framework. The Swiss canton of Aargau serves as a case study – a region where the textile industry flourished and a liberal government came to power after the July Revolution, subsequently enforcing compulsory education. Through a nuanced exploration of diverse sources, the article argues that decommodification was a deeply contentious process marked by conflicts between working-class families, factory owners, the state, and the church. Simultaneously, these conflicts unleashed dynamic forces that coded working-class childhood in terms of age and gender. It is this transformational power that underscores the interpretative potential of decommodification as a constructive process of Vergesellschaftung (sociation). Beyond simply freeing children from labour obligations, the prohibition of factory work reintegrated them intricately into the social fabric of the economy.