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The concept of the second slavery radically reinterprets the relation of slavery and capitalism by calling attention to the emergence of extensive new zones of slave commodity production in the US South, Cuba, and Brazil as part of nineteenth-century industrialization and world-economic expansion. This article examines the conceptual framework and methodological procedures that inform this interpretation. It reformulates the concept of the capitalist world-economy by emphasizing the mutual formation and historical interrelation of global–local relations. This open conception of world-economy permits the temporal-spatial specification of the zones of the second slavery. In this way, it is possible both to distinguish the new zones of the second slavery from previous world-economic zones of slave production and to establish the ways in which they are formative of the emerging industrial world division of labor. From this perspective, analysis of sugar production in Jamaica, Guyana, and Cuba discloses spatial-temporal differences between what would otherwise be taken as apparently similar historical-geographical complexes. This comparison demonstrates how world-economic processes produce particular local histories and how such histories structure the world-economy as a whole. This approach locates the crisis of slavery during the nineteenth century in the differentiated response to processes of world accumulation, rather than the incompatibility of slave production with industrialization and open, competitive markets. More generally, it calls attention to the continuity of forms of forced labor in the historical development of the capitalist world-economy and to the ways that processes of capitalist development produce social-economic differentiation and hierarchy on a world scale.
This article analyses the implications of the Forced Labour Convention of 1930 on colonial labour policies for road labour carried out under chiefs in the Gold Coast. The British colonial administration implemented a legal application of the convention that allowed the continuation of the existing system of public works. In the Gold Coast, the issue of road labour was most prominent in the North, where chiefs maintained the majority of roads. Indirect rule became crucial in retaining forced labour in compliance with the convention. This article focuses on “hidden strategies” of British colonialism after 1930, contrasting studies of blatant cases of forced labour. The analysis is based on a close scrutiny of the internal discourse among colonial officials on the question of road labour and the Forced Labour Convention.
All militaries try to develop a “winning edge” in warfare. More often than not these attempts focus on new weapons systems and weapons platforms, on new ways of maximizing the offensive capabilities of a military through firepower. These attempts can also involve the training and development of soldiers, including performance enhancements to make them fight better, longer, and smarter than the enemy and to counter human frailty on the battlefield. These concerns and problems have long held the interest of the U.S. military. This article traces the development, rationale, and legacy of one such attempt to deal with human frailty and the “body problem,” a kind of military futurism devised at the peak of the Cold War. Dr. Marion Sulzberger envisioned creating soldiers who had their own kind of special “biological armor,” or what he termed “idiophylaxis.” In 1962, he presented a paper at the Army Science Conference at West Point titled “Progress and Prospects in Idiophylaxis (Built-In Individual Self-Protection of the Combat Soldier).” Sulzberger's call was for a radical rethinking of the combat soldier and the ways in which soldiers were imagined, designed, and developed. His goal was to “armor” the individual soldier both internally and psychologically through new forms of biomedicine and biotechnology. The interventions he detailed in 1962 live on today in the U.S. military's soldier performance enhancement research programs, including DARPA's recent “Inner Armor” program and desire to make “kill-proof” soldiers.
In July 2010, following a year-long nationwide debate over Islamic veiling, the French government passed a law prohibiting facial coverings in all public spaces. Prior research attributes this and other restrictive laws to France's republican secular tradition. This article takes a different approach. Building on literature that sees electoral politics as a site for articulating, rather than merely reflecting, social identities, I argue that the 2010 ban arose in significant part out of political parties’ struggles to demarcate the boundaries of legitimate politics in the face of an ultra-right electoral threat. Specifically, I show that in seeking to prevent the ultra-right National Front party from monopolizing the religious signs issue, France's major right and left parties agreed to portray republicanism as requiring the exclusion of face veiling from public space. Because it was forged in conflict, however, the consensus thus generated is highly fractured and unstable. It conceals ongoing conflict, both between and within political parties, over the precise meaning(s) of French republican nationhood. The findings thus underscore the relationship between boundary-drawing in the political sphere and the process of demarcating the cultural and political boundaries of nationhood in contexts of immigrant diversity.
The entry of a universal revelation into the mundane world of language threatens to be paradoxical: it must take a specific and local form. As such, it becomes implicated in nationalist, ethnic, linguistic, and other sources of community. This article centers on a small melodrama in late twentieth-century Indonesia, home to the largest number of Muslims of any country. After undergoing a mid-life spiritual awakening, H. B. Jassin, a modernist literary critic, editor, and ardent defender of freedom of expression, undertook two projects intended to convey the aesthetic power of the Qur'an to a non-Arabic speaking public. But if Qur'anic Arabic summons a transnational community of the faithful, standardized Indonesian was developed to address a nation of citizens. If scripture speaks in a divine, uncreated idiom, the national language is shaped by human efforts. Jassin's career had served a vision of literature and its public whose values and semiotic ideologies were dramatically at odds with Qur'anic traditions. Although this may appear at first glance to be a familiar story of progress and its opponents, this article asks whether Jassin's critics grasped something about signs and communities that his defenders did not. Examining the furor that resulted from his Qur'ans, it explores an array of conflicting assumptions about language, freedom, truth, and people's lives together in the late twentieth century.
This article analyzes representations of the Koli as aboriginal in colonial Bombay, and explores the ends to which various actors have narrated Koli aboriginality. It examines the relationship between the historical deployment of the concept of aboriginality and its mediating role in the power of capital and state-making practices in one colonial urban context. The article shows how the Koli, as Bombay's “aboriginals,” gained concessions that served as an alibi for the market-based dispossession of the remainder of the city's population, and also as a pretext for claim-making by peoples with competing collective identities who used the tale of Koli identity and history as a narrative resource to argue for their own nativity. The Koli case helps us understand the co-emergence of the powers of caste and capital in Bombay, and compels us to revisit important, broader questions about relationships between aboriginal or indigenous peoples, capitalism, colonialism, liberalism, and governance.
This essay focuses on the northeastern borderlands of the Central African Republic (CAR), an area that though formally part of a state is mostly left to its own devices. It has no single sovereign, but many people participate in the sovereign prerogative of enacting violence in such a way as to claim a right to determine how to live. These dynamics are particularly visible in the area's contests over armed conservation, my ethnographic and historical topic here. These sovereign claims take the form of denunciation: rallying people to take extreme measures against another whose egregious acts threaten fundamental values. In northeastern CAR, the value frequently fought for through denunciation is negative liberty—freedom from molestation for those who carve space for themselves by denouncing. In addition to excavating denunciation as a dynamics of sovereignty, this paper shows that the values motivating sovereign struggles can include not just autonomy—whether devoted to a principle of order or anarchy, as others have explored—but can also be devoted to creating exceptions for those who denounce, such that they are able to participate in projects and access terrains that extend beyond their place of residence without having to consistently abide by others’ rules. Denunciation is thus a dynamics of sovereign claim-making that can shape and mobilize solidarities that are in flux, rather than those calcified by the violent, exceptional decision of a unitary sovereign. Denunciation foregrounds relational and processual aspects of sovereignty and in so doing invites new comparisons.
This article offers the first large-scale analysis of the interlinked dynamics of integration and belonging based on perceptions of “ordinary” German-speaking migrants in the United States in the nineteenth and twentieth centuries. Our analysis draws on a corpus of over a thousand letters from the North American Letter Collection held at the Forschungsbibliothek Gotha in Germany. Through computer-assisted text analysis, framed by research on transnationalism and immigrant integration, we explore patterns in integration and identities over time. We show how the migrants continuously redefine their identities vis-à-vis their homeland and the host society, and their letters thereby shape the image of the United States and the homeland for their recipients. Our analysis establishes more comprehensively than have previous historical and social science studies that integration into a host society is a non-linear process. Immigrant identities are influenced less by the time they have spent in the receiving country than by critical political events that affect both the country of origin and that of destination. Such events can reactivate migrant's identifications with their homeland. Immigrant networks filter this dual process in that they can facilitate migrants’ integration while also reminding them of people and places left behind.
I review and critique three important recent books to clarify the ways in which empires amass territories, dominate the peoples within them, and sooner or later decline and disappear. I review definitions of empires and contrast empires with nation-states. Empires succeed to the extent to which they manage differences among subjects, and I examine explanations for empires’ varying strategies for accomplishing that necessary task. I examine how empires both suppress and inadvertently foster nationalism. Imperial dynamics were influenced by competition with rival empires even as empires learned from each other's successes and failures. Throughout the modern era ancient Rome was a model and a caution. I identify the ways in which wars led to imperial expansion and moments when wars weakened or fatally undermined empires. I contrast ancient and modern and European and Asian empires. Finally, I look at the nineteenth-century expansion and twentieth-century collapses of modern empires and speculate on the extent to which those trajectories hold lessons for the contemporary United States.
This article explores the fashioning of a new discursive realm of Islamic kingship in thirteenth–fourteenth-century Mongol-ruled Iran (the Ilkhanate). It examines how literati, historians, and theologians ingeniously experimented at the Ilkhanid court with Persian and Islamic concepts and titles to translate and elaborate their Mongol patrons’ claims to govern through a unique affinity with heaven. The fusion of Mongol and Islamic elements formulated a new political vocabulary of auspicious, sacred, cosmic, and messianic rulership that Turco-Mongol Muslim courts, starting in the fifteenth century, extensively appropriated and expanded to construct new models of imperial authority. A comparison with Buddhist and Confucian assimilative approaches to the Mongol heaven-derived kingship points to a reciprocal process. Mongol rulers were not simply poured into preset Muslim and Persian molds; symbols and titles were selectively appropriated and refashioned into potent vessels that could convey a vision of Islamic kingship that addressed Chinggisid expectations. From their desire to collect and assume local religious and political traditions that could support and enhance their own legitimizing claims, the Mongols set in motion a process that led to their own integration into the Perso-Islamic world, and also facilitated the emergence of new political theologies that enabled models of divine kingship to inhabit the Islamic monotheistic world.
Revisiting William R. Bascom's 1948 ethnography of Afro-Cuban religious practices in Jovellanos (a semi-urban site in Cuba's Province of Matanzas) in light of current theoretical concerns in our discipline, this essay constitutes a thought experiment. As such it seeks to re-describe some of Bascom's data in terms of Actor-Network Theory, to see if his patent puzzlement over his interlocutors’ statements concerning the liveliness and even personhood of mineral objects—stones that embody, rather than represent deities—can be resolved that way. At the same time, I offer a critique of current attempts to redefine our discipline's mission under the sign of an “ontological turn” that recurs to notions of radical alterity that strike me as potentially essentialist, and certainly profoundly ahistorical. Drawing on Karen Barad's theories of “agential realism,” I suggest that contemporary concerns with post-humanist anti-representationalism need to be tempered by a view of our epistemic pursuits, including those of anthropology, as embedded in thoroughly historical—and so fundamentally emergent—ontologies. In light of such considerations, the essay concludes with a vision of anthropology as a form of knowledge that cannot afford to evade the historical transformations of the social worlds it aims to illuminate, nor those of the concurrent transformations in its own epistemic orientations. Instead, it must reframe its goals in terms of conjunctures of ontologies and epistemologies of mutually relational and, most importantly, historical scope.
This article examines the work of Robert Hurd (1905–1963), a Scottish nationalist architect, planner, and admirer of Scottish civic traditions, in order to query and enrich current anthropological approaches to “material politics” with their focus on material assemblies, infrastructures, and interactions that operate across scales and beyond discourse. Hurd was both an expert and planner and also an “artisan of nationalism” who sought to restore Scotland's built environment as at once a civic heritage and a material resource for a future of independence and self-determination. Hurd's attention to distinctively Scottish architectural forms and to historic centers and their development over time is significant as an idiom of nationalist thought, while his architectural work highlights the formal manipulation of scale and centrality to express political aspirations. He was an expert not only of infrastructure, plans, or populations and their needs, but also of the mediation of such material facts into architectural form and, in a broader sense, forms of life. Finally, Hurd's writing on “burgh” civic and architectural traditions, and his work as a conservation architect, together allow a better understanding of the role played by a conservative, tradition-minded modernism, and of narratives of tradition and national evolution, in the twentieth-century history and present development of Scotland's national and constitutional politics.
A quarter century following the collapse of the Soviet Union and the people's democracies, many of the dwellings, utilities, and public spaces built by these regimes continue to be cherished by their inhabitants and users. This has only increased as post-socialist urban landscapes undergo an ever-intensifying process of neoliberal “re-privatization,” de-planning, and spatial as well as economic stratification. Scholars, however, continue to produce accounts emphasizing how socialist cities and buildings, as well as the audacious social goals built into them, failed. This article provides a critical overview of recent literature on built socialism and identifies a tension between two parallel ethnographic and historical narratives. One argues that built socialism failed, because it was too obsessed with the economy and industry and neglected every other aspect of social life. The other pins the blame for failure on built socialism's alleged fixation with aesthetic or discursive realms and its corresponding neglect of the economy. The article closes by suggesting pathways for comparative scholarship that consider built socialism in terms of not only collapse and disintegration, but also success and endurance; not simply of either economy or aesthetics, but also of their reciprocal inter-determination and co-dependence. We must look beyond the lens of imported theories and consider “vernacular” or “emic” concepts rooted in the specificities and singularities of the socialist city itself.
In the Global South since the 1980s, when economic downturns under pressure from the forces of neoliberalism eroded social relations, sport and athletes’ bodies have become major loci where masculinity is constituted and debated. Sport masculinity now fills a vacuum left by the evacuation of traditional forms of masculinity, which are no longer available to the new generations of men. For them, the possibility of employment in the sport industries in the Global North has had a transformative effect, despite the extremely limited probability of success. During the same period of time, the world of sport has become commoditized, mediatized, and corporatized, transformations that have been spearheaded by the growing importance of privatized media interests. Professional athletes have become neoliberal subjects responsible for their own destiny in an increasingly demanding and unpredictable labor market. In Cameroon, Fiji, and Senegal, athletic hopefuls prospectively embody this new gendered subjectivity by mobilizing locally available instruments that most closely resemble neoliberal subjectivity, such as Pentecostalism and maraboutism. Through the conduit of sport, the masculine self has been transformed into a neoliberal subject in locations where this is least expected. What emerges is a new approach to masculinity that eschews explanations based on the simple recognition of diverse and hierarchically organized masculinities, and instead recognizes masculinity in its different manifestations as embedded, scalar, relational, and temporally situated.
Drawing on ethnographic data from the mid-2000s as well as accounts from French Jewish newspapers and magazines from the 1980s onward, this paper traces the emergence of new French Jewish institutional narratives linking North African Jews to the “European” Holocaust. I argue that these new narratives emerged as a response to the social and political impasses produced by intra-Jewish disagreements over whether and how North African Jews could talk about the Holocaust, which divided French Jews and threatened the relationship between Jewishness and French national identity. These new pedagogical narratives relied on a very different historicity, or way of reckoning time and causality, than those used in more divisive everyday French Jewish Holocaust narratives. By reworking the ways that French Jews reckoned time and causality, they offered an expansive and homogenously “European” Jewishness. This argument works against a growing postcolonial sociological and anthropological literature on religious minorities in France and Europe by emphasizing the contingency, difficulty, and even ambivalence around constructing “Jewishness” as transparently either “European” or “French.” It also highlights the role played by historicity—not just history—in producing what counts as group “identity.”
This article locates itself at the intersection of the social history of postcolonial migrations and the intellectual history of leftism and Third-Worldism in the aftermath of May ’68. It is the first study of the radical political group Révolution Afrique. From 1972 until its ban by the French government in 1977, this organization forged by African and French activists mobilized against neocolonial ideologies and policies on both sides of the Mediterranean. By tracing the organization's rise and fall through extensive archival research and in-depth interviews, the article explores the changing meanings of transnational activism by weaving together the biographical paths of the activists, the institutional and political constraints they faced, and the ideological framework within which they operated. During this short time frame, the transnational agenda that made sense among African workers and students in the early 1970s became irrelevant. The increasing repression of political dissent in Africa and France, the suspension of migratory flows, and the French government's implementation of return policies in the late 1970s forced the group's African activists to adopt a more national approach to their actions, or simply withdraw from high-risk activism. Despite the dissolution of Révolution Afrique, this collective endeavor appears to have been a unique experience of political education for African activists, transcending distinct social and national boundaries that until now have been left unexamined by social scientists specialized in the complex history of the relationships between France and Africa.
This article compares two German-speaking Mennonite colonies in Paraguay and their encounters with Nazism during the 1930s. It focuses on their understandings of the Nazi bid for transnational völkisch unity. Latin America presents a unique context for studying the Nazis’ relationship to German-speakers abroad because it held the allure of being the last prospect for German cultural and economic expansion, but was simultaneously impossible for the German state to invade. The Menno Colony was made up of voluntary migrants from Canada who arrived in Paraguay in the 1920s. The Fernheim Colony was composed of refugees from the Soviet Union who settled alongside the Menno Colony in the 1930s. Both groups shared a history in nineteenth-century Russia as well as a common faith and culture. Nevertheless, they developed radically different opinions about völkisch nationalism. The Menno Colony's communal understanding of Germanness made völkisch propaganda about Hitler's “New Germany” unappealing to their local sensibilities. They rejected all forms of nationalism as worldly attempts to thwart their cultural-religious isolationism. The refugees of Fernheim Colony, by contrast, shared little communal unity since they originated from diverse settlements across the Soviet Union. They viewed Germanness as a potential bridge to an imagined German homeland and believed that the highest goal of völkisch unity was to promote communal unity. Resembling other German-speaking communities in Latin America, the two colonies—which seemed identical to Nazi observers—held vastly different interpretations of völkisch nationalism at the height of the Nazi bid to establish transnational German unity in Latin America.